0001752724-20-240877.txt : 20201123 0001752724-20-240877.hdr.sgml : 20201123 20201123140409 ACCESSION NUMBER: 0001752724-20-240877 CONFORMED SUBMISSION TYPE: NPORT-P PUBLIC DOCUMENT COUNT: 2 CONFORMED PERIOD OF REPORT: 20200930 FILED AS OF DATE: 20201123 PERIOD START: 20201231 FILER: COMPANY DATA: COMPANY CONFORMED NAME: COLLEGE RETIREMENT EQUITIES FUND CENTRAL INDEX KEY: 0000777535 IRS NUMBER: 136022042 STATE OF INCORPORATION: NY FISCAL YEAR END: 1231 FILING VALUES: FORM TYPE: NPORT-P SEC ACT: 1940 Act SEC FILE NUMBER: 811-04415 FILM NUMBER: 201336339 BUSINESS ADDRESS: STREET 1: 730 THIRD AVE CITY: NEW YORK STATE: NY ZIP: 10017 BUSINESS PHONE: 2129164905 MAIL ADDRESS: STREET 1: 730 THIRD AVE CITY: NEW YORK STATE: NY ZIP: 10017 0000777535 S000005081 Global Equities Account C000154476 Class R1 QCGLRX C000154477 Class R2 QCGLPX C000154478 Class R3 QCGLIX NPORT-P 1 primary_doc.xml NPORT-P false 0000777535 XXXXXXXX S000005081 C000154478 C000154477 C000154476 College Retirement Equities 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(Class A) 466160009 7868.00000000 NS 429689.03000000 0.002049312194 Long EC CORP AT N 2 N N Terna Rete Elettrica Nazionale SpA 8156009E94ED54DE7C31 Terna Rete Elettrica Nazionale S.p.A. B01BN5908 14126.00000000 NS 98836.75000000 0.000471381261 Long EC CORP IT N 2 N N N Mercari Inc N/A Mercari, Inc N/A 800.00000000 NS 36970.72000000 0.000176324136 Long EC CORP JP N 2 N N Let's GOWEX SA N/A Let's GOWEX S.A. N/A 108528.00000000 NS 1272.44000000 0.000006068637 Long EC CORP ES N 3 N N a2 Milk Co Ltd/The 529900PVC9CV0KFA2U62 a2 Milk Co Ltd N/A 7382.00000000 NS 75130.17000000 0.000358317673 Long EC CORP NZ N 2 N N N Kornit Digital Ltd 5299006DPCQWP3VTFK34 Kornit Digital Ltd M6372Q113 141241.00000000 NS USD 9162303.67000000 0.043697696085 Long EC CORP US N 1 N N N Shanghai Putailai New Energy Technology Co Ltd N/A Shanghai Putailai New Energy Technology Co Ltd N/A 5000.00000000 NS 80310.22000000 0.000383022841 Long EC CORP CN N 2 N N N Paion AG 529900CGHB9UWY40BU45 Paion AG. N/A 472863.00000000 NS 1287275.21000000 0.006139390586 Long EC CORP DE N 2 N N N Leo Group Co Ltd N/A Leo Group Co Ltd N/A 90000.00000000 NS 38444.43000000 0.000183352689 Long EC CORP CN N 2 N N N NVIDIA Corp 549300S4KLFTLO7GSQ80 NVIDIA Corp 67066G104 92913.00000000 NS USD 50286373.86000000 0.239830370319 Long EC CORP US N 1 N N N Signature Bank/New York NY VLP5AP0XK2GM6GKD1007 Signature Bank 82669G104 1382.00000000 NS USD 114692.18000000 0.000547000427 Long EC CORP US N 1 N N N Huaxia Bank Co Ltd 300300AKNDEHIGVDZW37 Huaxia Bank Co Ltd N/A 119200.00000000 NS 107525.91000000 0.000512822397 Long EC CORP CN N 2 N N N Hindustan Petroleum Corp Ltd 335800DWLXIP7HFFY564 Hindustan Petroleum Corp Ltd N/A 118950.00000000 NS 291175.73000000 0.001388701904 Long EC CORP IN N 2 N N N Jiangxi Zhengbang Technology Co Ltd 30030098MS5Y5GREO955 Jiangxi Zhengbang Technology Co Ltd N/A 32400.00000000 NS 86791.62000000 0.000413934526 Long EC CORP CN N 2 N N N Waste Connections Inc 549300HDLRTPBQU69P29 Waste Connections, Inc 94106B101 6484.00000000 NS USD 673039.20000000 0.003209920067 Long EC CORP US N 1 N N N Far EasTone Telecommunications Co Ltd 529900L7W7BWDLVZL253 Far EasTone Telecommunications Co Ltd 642185904 290000.00000000 NS 612502.05000000 0.002921200758 Long EC CORP TW N 2 N N N Deutsche Telekom AG 549300V9QSIG4WX4GJ96 Deutsche Telekom AG. 584235907 594244.00000000 NS 9894179.49000000 0.047188225138 Long EC CORP DE N 2 N N N Roku Inc 549300KR6ITU0YIR1T71 Roku, Inc 77543R102 2521.00000000 NS USD 475964.80000000 0.002270014826 Long EC CORP US N 1 N N N FinecoBank Banca Fineco SpA 549300L7YCATGO57ZE10 FinecoBank Banca Fineco S.p.A N/A 6114.00000000 NS 84212.47000000 0.000401633808 Long EC CORP IT N 2 N N N Kansas City Southern 5493008C12PZMWP3WY03 Kansas City Southern 485170302 83056.00000000 NS USD 15019016.48000000 0.071630066114 Long EC CORP US N 1 N N N EDP - Energias de Portugal SA 529900CLC3WDMGI9VH80 Energias de Portugal S.A. X67925119 1275687.00000000 NS 6272464.65000000 0.029915211703 Long EC CORP PT N 2 N N N Nedbank Group Ltd N/A Nedbank Group Ltd 662800903 69259.00000000 NS 414447.06000000 0.001976618798 Long EC CORP ZA N 2 N N N PTT Exploration & Production PCL 2549001O8YYGP5N7Q076 PTT Exploration & Production PCL (Foreign) B1359J903 297500.00000000 NS 744309.84000000 0.003549830517 Long EC CORP TH N 2 N N N Dassault Systemes SE 96950065LBWY0APQIM86 Dassault Systemes S.A. 533004909 394805.00000000 NS 73663529.41000000 0.351322837208 Long EC CORP FR N 2 N N N Banque Saudi Fransi 558600N07EDF4ATYR106 Banque Saudi Fransi N/A 110032.00000000 NS 951036.80000000 0.004535771630 Long EC CORP SA N 2 N N N Sino Land Co Ltd 529900G5P51053HJVZ92 Sino Land Co 681042008 32885.00000000 NS 38498.65000000 0.000183611280 Long EC CORP HK N 2 N N N Huntington Bancshares Inc/OH 549300XTVCVV9I7B5T19 Huntington Bancshares, Inc 446150104 25885.00000000 NS USD 237365.45000000 0.001132064999 Long EC CORP US N 1 N N N Bank Hapoalim BM B6ARUI4946ST4S7WOU88 Bank Hapoalim Ltd M1586M115 137155.00000000 NS 732813.24000000 0.003494999882 Long EC CORP IL N 2 N N N Colgate-Palmolive India Ltd 335800YWKI47DGFKWB26 Colgate-Palmolive India Ltd N/A 12052.00000000 NS 234535.97000000 0.001118570384 Long EC CORP IN N 2 N N N Williams Cos Inc/The D71FAKCBLFS2O0RBPG08 Williams Cos, Inc 969457100 166118.00000000 NS USD 3264218.70000000 0.015568010169 Long EC CORP US N 1 N N N Sysco Corp 5RGWIFLMGH3YS7KWI652 SYSCO Corp 871829107 44137.00000000 NS USD 2746204.14000000 0.013097447783 Long EC CORP US N 1 N N N China Oilfield Services Ltd 529900J4X53VL8QQW675 China Oilfield Services Ltd 656099900 384000.00000000 NS 268759.52000000 0.001281792467 Long EC CORP HK N 2 N N N United Internet AG 3VEKWPJHTD4NKMBVG947 United Internet AG. 435413901 1032.00000000 NS 39466.57000000 0.000188227572 Long EC CORP DE N 2 N N N Martin Marietta Materials Inc 5299005MZ4WZECVATV08 Martin Marietta Materials, Inc 573284106 1538.00000000 NS USD 361983.68000000 0.001726405651 Long EC CORP US N 1 N N N Credit Agricole SA 969500TJ5KRTCJQWXH05 Credit Agricole S.A. 726261902 406877.00000000 NS 3549956.33000000 0.016930776190 Long EC CORP FR N 2 N N N Aurizon Holdings Ltd 5299005PC1O6NOWL3H48 QR National Ltd N/A 19178.00000000 NS 58998.58000000 0.000281381420 Long EC CORP AU N 2 N N N Varian Medical Systems Inc TK3LAKL7I0QNTCVWSY07 Varian Medical Systems, Inc 92220P105 12235.00000000 NS USD 2104420.00000000 0.010036592205 Long EC CORP US N 1 N N N Amazia Inc N/A Amazia, Inc N/A 141499.00000000 NS 4783733.87000000 0.022815020799 Long EC CORP JP N 2 N N Fiserv Inc GI7UBEJLXYLGR2C7GV83 Fiserv, Inc 337738108 14068.00000000 NS USD 1449707.40000000 0.006914077033 Long EC CORP US N 1 N N N X5 Retail Group NV 213800J17UJJJDGUVF56 X5 Retail Group NV (GDR) N/A 22766.00000000 NS USD 842342.00000000 0.004017374455 Long EC CORP NL Y 2 N N N TongFu Microelectronics Co Ltd N/A TongFu Microelectronics Co Ltd N/A 13500.00000000 NS 45635.00000000 0.000217646612 Long EC CORP CN N 2 N N N T-Mobile US Inc 549300QHIJYOHPACPG31 T-Mobile US, Inc 872590104 168024.00000000 NS USD 19215224.64000000 0.091643005598 Long EC CORP US N 1 N N N Nanya Technology Corp 254900STKVKJBRRO0835 Nanya Technology Corp 628360901 197000.00000000 NS 395934.88000000 0.001888328817 Long EC CORP TW N 2 N N N Annaly Capital Management Inc 2DTL0G3FPRYUT58TI025 Annaly Capital Management, Inc 035710409 33308.00000000 NS USD 237152.96000000 0.001131051572 Long EC CORP US N 1 N N N Winbond Electronics Corp 254900STBMBTLA91J410 Winbond Electronics Corp 696651900 505000.00000000 NS 246065.65000000 0.001173558788 Long EC CORP TW N 2 N N N Ryman Healthcare Ltd 529900UR74KKRFG56I57 Ryman Healthcare Ltd Q8203F106 3911.00000000 NS 36743.50000000 0.000175240458 Long EC CORP NZ N 2 N N N Covestro AG 3912005AWHKLQ1CPLV11 Covestro AG. N/A 41281.00000000 NS 2047126.40000000 0.009763342331 Long EC CORP DE Y 2 N N N 2020-09-30 COLLEGE RETIREMENT EQUITIES FUND E. Scott Wickerham E. Scott Wickerham Funds Treasurer XXXX NPORT-EX 2 100629_CREF_SOI.htm

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

COLLEGE RETIREMENT EQUITIES FUND
STOCK ACCOUNT
SCHEDULE OF INVESTMENTS (unaudited)
September 30, 2020

 

PRINCIPAL      ISSUER  RATE  MATURITY
DATE
  VALUE
(000)
 
BONDS - 0.0%             
                      
GOVERNMENT BONDS - 0.0%             
                      
U.S. TREASURY SECURITIES - 0.0%             
$300,000      United States Treasury Note   1.750%  05/15/22  $308 
        TOTAL U.S. TREASURY SECURITIES           308 
                      
        TOTAL GOVERNMENT BONDS           308 
        (Cost $301)             
                      
        TOTAL BONDS           308 
        (Cost $301)             
                      
SHARES      COMPANY             
COMMON STOCKS - 98.7%             
                      
AUTOMOBILES & COMPONENTS - 1.7%             
 16,427      AB Dynamics plc           393 
 259,370   *  Adient plc           4,495 
 35,775      Aisan Industry Co Ltd           160 
 542,763      Aisin Seiki Co Ltd           17,365 
 173,734   *  American Axle & Manufacturing Holdings, Inc           1,002 
 239,408      Apollo Tyres Ltd           425 
 761,838      Aptiv plc           69,845 
 78,220      ARB Corp Ltd           1,563 
 1,026,673   *,e,g  Aston Martin Lagonda Global Holdings plc           675 
 3,170   e  Autoneum Holding AG.           390 
 99,800   *  BAIC BluePark New Energy Technology Co Ltd           87 
 997,500   g  BAIC Motor Corp Ltd           408 
 76,338      Bajaj Holdings and Investment Ltd           2,984 
 82,992      Balkrishna Industries Ltd           1,664 
 973,126      Bayerische Motoren Werke AG.           70,627 
 2,228      Bayerische Motoren Werke AG. (Preference)           122 
 535,204      Bharat Forge Ltd           3,258 
 36,031      BorgWarner, Inc           1,396 
 2,732      Bosch Ltd           509 
 173,367   e  Brembo S.p.A           1,734 
 385,427      Bridgestone Corp           12,183 
 1,450,235      Brilliance China Automotive Holdings Ltd           1,371 
 60,400      BYD Co Ltd           1,038 
 2,041,262   e  BYD Co Ltd (H shares)           32,918 
 17,852      Ceat Ltd           242 
 6,100      Changzhou Xingyu Automotive Lighting Systems Co Ltd           135 
 1,082,554      Chaowei Power Holdings Ltd           402 
 908,009      Cheng Shin Rubber Industry Co Ltd           1,162 
 209,791      China Motor Corp           306 
 78,100      Chongqing Changan Automobile Co Ltd           155 
 79,921      Cie Automotive S.A.           1,508 
 65,358      Compagnie Plastic-Omnium S.A.           1,727 
 84,773      Continental AG.           9,187 
1

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES       COMPANY  VALUE
(000)
 
 81,839      Cooper Tire & Rubber Co  $2,594 
 32,453   *  Cooper-Standard Holding, Inc   429 
 56,847      Cub Elecparts, Inc   317 
 39,700      Daido Metal Co Ltd   193 
 41,700   e  Daikyonishikawa Corp   222 
 128,153      Daimler AG. (Registered)   6,913 
 235,470      Dana Inc   2,901 
 413,219      Denso Corp   18,112 
 92,000      Depo Auto Parts Ind Co Ltd   150 
 329,036   g  Dometic Group AB   4,062 
 1,407,187      Dongfeng Motor Group Co Ltd   880 
 35,784   *  Dorman Products, Inc   3,234 
 2,799,068      Drb-Hicom BHD   1,413 
 27,700      Eagle Industry Co Ltd   209 
 552,005      Eicher Motors Ltd   16,481 
 32,275   *,e  ElringKlinger AG.   249 
 29,899   g  Endurance Technologies Ltd   467 
 37,082      Exedy Corp   483 
 189,020      Exide Industries Ltd   423 
 10,090      Faurecia   435 
 36,000      FCC Co Ltd   664 
 106,004      Ferrari NV   19,454 
 164,350      Fiat DaimlerChrysler Automobiles NV   2,017 
 6,297,447      Ford Motor Co   41,941 
 35,696      Ford Otomotiv Sanayi AS   404 
 48,137   *,e  Fox Factory Holding Corp   3,578 
 537,732      Fuji Heavy Industries Ltd   10,439 
 60,480      Futaba Industrial Co Ltd   309 
 66,600      Fuyao Glass Industry Group Co Ltd   318 
 280,800   g  Fuyao Glass Industry Group Co Ltd (Hong Kong)   1,035 
 12,126,302      Geely Automobile Holdings Ltd   24,326 
 1,743,473      General Motors Co   51,589 
 722,689   *,†,e  General Motors Co    0 
 24,057,000   *,†  General Motors Co    0 
 26,439,191   *,†  General Motors Co    0 
 6,062,000   *,†  General Motors Co    0 
 85,268,000   *,†,e  General Motors Co    0 
 35,983,677   *,†  General Motors Co    0 
 40,684,487   *,†,e  General Motors Co    0 
 18,507,434   *,†  General Motors Co    0 
 7,950,000   *,†  General Motors Co    0 
 4,230,271   *,†,e  General Motors Co    0 
 36,375      Gentex Corp   937 
 78,567   *  Gentherm, Inc   3,213 
 195,228   e,g  Gestamp Automocion S.A.   565 
 18,329      Global & Yuasa Battery Co Ltd   433 
 35,000      Global PMX Co Ltd   204 
 374,225      Goodyear Tire & Rubber Co   2,870 
 2,313,089      Great Wall Motor Co Ltd   2,951 
 24,700   e  G-Tekt Corp   282 
 1,470,165      Guangzhou Automobile Group Co Ltd (Hong Kong)   1,233 
 98,560      GUD Holdings Ltd   808 
 6,877      Halla Holdings Corp   183 
 34,621      Hankook Tire Co Ltd   933 
 89,350      Hanon Systems   943 
 282,861      Harley-Davidson, Inc   6,941 
2

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES       COMPANY  VALUE
(000)
 
 129,105      Hero Honda Motors Ltd  $5,511 
 1,306,190      Honda Motor Co Ltd   31,018 
 1,053,990      Hota Industrial Manufacturing Co Ltd   3,482 
 67,400      Huayu Automotive Systems Co Ltd   248 
 63,795      Hyundai Mobis   12,516 
 108,850      Hyundai Motor Co   16,580 
 18,605      Hyundai Motor Co Ltd (2nd Preference)   1,404 
 11,233      Hyundai Motor Co Ltd (Preference)   811 
 14,711      Hyundai Wia Corp   509 
 32,500      Ichikoh Industries Ltd   143 
 10,356      Indus Motor Co Ltd   80 
 387,751      Isuzu Motors Ltd   3,391 
 20,096      Kayaba Industry Co Ltd   417 
 45,706      Keihin Corp   1,124 
 478,874      Kenda Rubber Industrial Co Ltd   490 
 132,498      Kia Motors Corp   5,313 
 73,487   *  Koito Manufacturing Co Ltd   3,750 
 82,010   *  Kumho Tire Co, Inc   258 
 48,149      LCI Industries, Inc   5,118 
 9,948      Lear Corp   1,085 
 35,007   *,e  Leoni AG.   207 
 108,745      Linamar Corp   3,235 
 269,180      Magna International, Inc   12,317 
 1,730,642      Mahindra & Mahindra Ltd   14,308 
 79,597   *  Mahindra CIE Automotive Ltd   146 
 35,812      Mahle-Metal Leve S.A. Industria e Comercio   108 
 128,301      Mando Corp   3,905 
 165,991      Martinrea International, Inc   1,188 
 138,241      Maruti Suzuki India Ltd   12,673 
 399,782      Mazda Motor Corp   2,345 
 10,658      MGI Coutier   212 
 592,014      Michelin (C.G.D.E.) (Class B)   63,551 
 60,441      Minda Industries Ltd   271 
 834,179      Minth Group Ltd   3,643 
 471,563   e  Mitsubishi Motors Corp   1,041 
 170,039   *  Modine Manufacturing Co   1,063 
 483,385      Motherson Sumi Systems Ltd   757 
 29,786   *  Motorcar Parts of America, Inc   463 
 51,238      Musashi Seimitsu Industry Co Ltd   542 
 383,949      Nan Kang Rubber Tire Co Ltd   567 
 34,782      Nexen Tire Corp   159 
 2,803,000   e  Nexteer Automotive Group Ltd   1,964 
 109,920      NGK Spark Plug Co Ltd   1,919 
 233,715   *  NHK Spring Co Ltd   1,496 
 94,412      Nifco, Inc   2,579 
 21,800      Ningbo Joyson Electronic Corp   71 
 51,600      Ningbo Tuopu Group Co Ltd   305 
 1,005,216   *  NIO, Inc (ADR)   21,331 
 48,253      Nippon Seiki Co Ltd   528 
 1,632,316   *  Nissan Motor Co Ltd   5,773 
 71,210   e  Nissan Shatai Co Ltd   625 
 45,810      Nissin Kogyo Co Ltd   976 
 26,927   *,e  Niu Technologies (ADR)   517 
 93,288      NOK Corp   973 
 146,548   e  Nokian Renkaat Oyj   4,143 
 44,700      Pacific Industrial Co Ltd   411 
3

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES       COMPANY  VALUE
(000)
 
 336,764   e  Peugeot S.A.  $6,107 
 644,339      Piaggio & C S.p.A.   1,741 
 30,994      Piolax Inc   461 
 377,426   g  Pirelli & C S.p.A   1,617 
 450,640      Porsche AG.   26,809 
 101,954      Press Kogyo Co Ltd   290 
 121,500      Prinx Chengshan Cayman Holding Ltd   127 
 81,284,707      PT Astra International Tbk   24,474 
 1,845,100      PT Selamat Sempurna Tbk   148 
 662,830      Qingling Motors Co Ltd   116 
 297,248      Renault S.A.   7,711 
 8,961      Riken Corp   231 
 63,217      S&T Daewoo Co Ltd   2,749 
 247,200      SAIC Motor Corp Ltd   697 
 453,920      Sanyang Industry Co Ltd   352 
 42,200      Shandong Linglong Tyre Co Ltd   182 
 24,600      Shoei Co Ltd   817 
 55,537      Showa Corp   1,208 
 13,539      SL Corp   164 
 848,754      Sri Trang Agro-Industry PCL (Foreign)   714 
 54,371      Standard Motor Products, Inc   2,428 
 91,835      Stanley Electric Co Ltd   2,647 
 178,435   *  Stoneridge, Inc   3,278 
 530,293      Sumitomo Electric Industries Ltd   5,970 
 120,259      Sumitomo Rubber Industries, Inc   1,117 
 42,052      Sundram Fasteners Ltd   229 
 522,424      Suzuki Motor Corp   22,380 
 29,600      Tachi-S Co Ltd   274 
 7,885,851   *  Tata Motors Ltd   14,308 
 1,143,996   *,e  Tata Motors Ltd (ADR)   10,399 
 26,400      Teikoku Piston Ring Co Ltd   322 
 88,955   *  Tenneco, Inc   617 
 1,455,398   *,e  Tesla, Inc   624,380 
 88,111      Thor Industries, Inc   8,393 
 264,557   e,g  TI Fluid Systems plc   525 
 2,333,118   e  Tianneng Power International Ltd   4,192 
 54,847      Tokai Rika Co Ltd   820 
 41,417   e  Tokai Rubber Industries, Inc   222 
 322,699      Tong Yang Industry Co Ltd   402 
 36,568      Topre Corp   395 
 246,125   e  Toyo Tire & Rubber Co Ltd   3,987 
 45,750      Toyoda Gosei Co Ltd   1,050 
 76,695      Toyota Boshoku Corp   1,087 
 103,078      Toyota Industries Corp   6,527 
 3,713,120      Toyota Motor Corp   246,440 
 9,796      Trigano S.A.   1,513 
 46,400      TS Tech Co Ltd   1,312 
 66,656      Tube Investments of India Ltd   547 
 59,883      Tupy S.A.   185 
 241,400      UMW Holdings BHD   146 
 40,500      Unipres Corp   331 
 1,078,083      Valeo S.A.   33,106 
 22,593   *,e  Visteon Corp   1,564 
 40,905      Volkswagen AG.   7,150 
 24,666      Volkswagen AG. (Preference)   3,969 
4

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES       COMPANY  VALUE
(000)
 
 16,900      Weifu High-Technology Group Co Ltd  $63 
 102,074      Winnebago Industries, Inc   5,274 
 154,872   *,e  Workhorse Group, Inc   3,915 
 712,907      Xingda International Holdings Ltd   176 
 2,049,712      Xinyi Glass Holdings Co Ltd   4,145 
 27,613   *,e  XPEL, Inc   720 
 98,490   *  XPeng, Inc (ADR)   1,977 
 1,008,000   g  Yadea Group Holdings Ltd   1,489 
 234,974      Yamaha Motor Co Ltd   3,414 
 83,370      Yokohama Rubber Co Ltd   1,187 
 18,200      Yorozu Corp   182 
 835,000      Yulon Motor Co Ltd   667 
 315,200      Zhejiang Century Huatong Group Co Ltd   443 
        TOTAL AUTOMOBILES & COMPONENTS   1,852,312 
              
BANKS - 4.9%        
 6,996   e  1st Constitution Bancorp   83 
 41,684      1st Source Corp   1,286 
 60,403   e  77 Bank Ltd   933 
 65,415      Aareal Bank AG.   1,317 
 26,786   *  Aavas Financiers Ltd   521 
 1,419,665   g  ABN AMRO Group NV (ADR)   11,868 
 359,619      Absa Group Ltd   1,905 
 1,369,254      Abu Dhabi Commercial Bank PJSC   2,113 
 5,988      ACNB Corp   125 
 27,172,649      Agricultural Bank of China Ltd   8,526 
 4,158,200      Agricultural Bank of China Ltd (Class A)   1,939 
 32,199,843      AIB Group plc   33,033 
 8,547      Aichi Bank Ltd   247 
 2,933,494   *  Akbank TAS   1,932 
 16,300   e  Akita Bank Ltd   245 
 55,991      Aktia Bank Oyj   606 
 1,667,962      Al Rajhi Bank   29,235 
 925,115      Alinma Bank   4,037 
 84,738   *  Alior Bank S.A.   294 
 35,516   e  Allegiance Bancshares, Inc   830 
 924,200      Alliance Financial Group BHD   488 
 1,353,846   *  Alpha Bank AE   819 
 28,622      Altabancorp   576 
 315,270   *,†  Amagerbanken AS    0 
 51,479      Amalgamated Bank   545 
 38,224   *,e  Amerant Bancorp Inc   356 
 9,204   e  American National Bankshares, Inc   193 
 128,448   e  Ameris Bancorp   2,926 
 7,107      Ames National Corp   120 
 1,678,386      AMMB Holdings BHD   1,215 
 22,400   e  Aomori Bank Ltd   534 
 123,949   e  Aozora Bank Ltd   2,058 
 551,583      Arab National Bank   2,994 
 19,201   e  Arrow Financial Corp   482 
 38,580   e  Aruhi Corp   682 
 649,442      Ashikaga Holdings Co Ltd   1,474 
 19,364      Associated Banc-Corp   244 
 91,288   *,e  Atlantic Capital Bancshares, Inc   1,036 
5

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES       COMPANY  VALUE
(000)
 
 127,276   e  Atlantic Union Bankshares Corp  $2,720 
 73,857   g  AU Small Finance Bank Ltd   654 
 2,071   e  Auburn National Bancorporation, Inc   75 
 3,472,580      Australia & New Zealand Banking Group Ltd   43,324 
 34,444   e  Awa Bank Ltd   848 
 2,152,738      Axis Bank Ltd   12,459 
 135,607   *,e  Axos Financial, Inc   3,161 
 69,213      Banc of California, Inc   700 
 321,980   *,e  Banca Monte dei Paschi di Siena S.p.A   524 
 1,826,882   e  Banca Popolare dell’Emilia Romagna Scrl   4,255 
 509,331   e  Banca Popolare di Sondrio SCARL   1,067 
 29,718   e  Bancfirst Corp   1,214 
 82,328      Banco ABC Brasil S.A.   172 
 837   *  Banco ABC Brasil S.A.   2 
 66,511   e  Banco BBVA Argentina S.A. (ADR)   168 
 886,230      Banco Bilbao Vizcaya Argentaria S.A.   2,460 
 1,602,425   e  Banco BPM S.p.A.   2,710 
 1,254,191   *  Banco Bradesco S.A.   4,024 
 4,290,644   *  Banco Bradesco S.A. (Preference)   14,830 
 45,580,887   e  Banco Comercial Portugues S.A.   4,296 
 42,886,383      Banco de Chile   3,273 
 46,179      Banco de Credito e Inversiones   1,460 
 3,698,574      Banco de Oro Universal Bank   6,600 
 6,186,562      Banco de Sabadell S.A.   2,147 
 734,074   e,g  Banco del Bajio S.A.   550 
 3,446,684      Banco do Brasil S.A.   18,179 
 220,920      Banco do Estado do Rio Grande do Sul   469 
 16,063,377   *,†  Banco Espirito Santo S.A.   188 
 842,717      Banco Inter S.A.   8,145 
 11,247,447   *  Banco Itau Holding Financeira S.A.   45,063 
 44,612      Banco Macro S.A. (ADR) (Class B)   638 
 1,889,701      Banco Pan S.A.   2,732 
 394,948      Banco Santander Brasil S.A.   1,966 
 62,054,265      Banco Santander Chile S.A.   2,159 
 2,208,720      Banco Santander S.A. (AQXE)   4,120 
 251,106      BanColombia S.A.   1,593 
 430,004      BanColombia S.A. (Preference)   2,775 
 182,065      BancorpSouth Bank   3,528 
 674,079   g  Bandhan Bank Ltd   2,517 
 532,200      Bangkok Bank PCL (Foreign)   1,620 
 338,113      Bank AlBilad   2,183 
 663,372      Bank Alfalah Ltd   140 
 427,403      Bank Al-Jazira   1,600 
 5,534   e  Bank First Corp   325 
 36,457   *  Bank Handlowy w Warszawie S.A.   346 
 270,920      Bank Hapoalim Ltd   1,448 
 343,104      Bank Leumi Le-Israel   1,510 
 641,452   *  Bank Millennium S.A.   459 
 17,452,858      Bank of America Corp   420,439 
 1,223,800      Bank of Beijing Co Ltd   843 
 131,380      Bank of Chengdu Co Ltd   191 
 1,985,200      Bank of China Ltd   935 
 77,115,572      Bank of China Ltd (Hong Kong)   23,984 
 14,096      Bank of Commerce Holdings   98 
6

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES       COMPANY  VALUE
(000)
 
 2,484,600      Bank of Communications Co Ltd  $1,659 
 8,608,846      Bank of Communications Co Ltd (Hong Kong)   4,149 
 1,221,783      Bank of East Asia Ltd   2,255 
 42,640      Bank of Georgia Group plc   490 
 298,200      Bank of Hangzhou Co Ltd   517 
 5,785   e  Bank of Hawaii Corp   292 
 38,799,561      Bank of Ireland Group plc   71,933 
 15,559      Bank of Iwate Ltd   376 
 685,800      Bank of Jiangsu Co Ltd   614 
 610,394      Bank of Kaohsiung   209 
 190,824      Bank of Kyoto Ltd   9,226 
 43,227      Bank of Marin Bancorp   1,252 
 450,837   e  Bank of Montreal   26,355 
 13,310   e  Bank of Nagoya Ltd   324 
 567,000      Bank of Nanjing Co Ltd   659 
 340,657      Bank of Ningbo Co Ltd   1,581 
 1,127,706   e  Bank of Nova Scotia   46,851 
 298,705      Bank of NT Butterfield & Son Ltd   6,655 
 23,200   e  Bank of Okinawa Ltd   694 
 4,737      Bank of Princeton   86 
 499,489   e  Bank of Queensland Ltd   2,063 
 793,368      Bank of Shanghai Co Ltd   950 
 829,976      Bank of the Philippine Islands   1,099 
 46,005      Bank of the Ryukyus Ltd   400 
 16,787      Bank OZK   358 
 90,956      Bank Pekao S.A.   1,185 
 161,804,057      Bank Rakyat Indonesia   33,195 
 18,420      Bank Zachodni WBK S.A.   679 
 3,937   e  Bank7 Corp   37 
 36,674   e  BankFinancial Corp   265 
 1,352,266      Bankia S.A.   1,969 
 90,861      Bankinter S.A.   391 
 217,925      BankUnited   4,775 
 4,832   e  Bankwell Financial Group, Inc   68 
 57,367      Banner Corp   1,851 
 27,911      Banque Cantonale Vaudoise   2,832 
 564,230      Banque Saudi Fransi   4,877 
 26,086      Bar Harbor Bankshares   536 
 12,807,208      Barclays plc   16,157 
 1,099,665   g  BAWAG Group AG.   39,758 
 11,917   *  Baycom Corp   123 
 11,088      BCB Bancorp, Inc   89 
 609,609   e  Bendigo Bank Ltd   2,655 
 155,750      Berkshire Hills Bancorp, Inc   1,575 
 535,900      BIMB Holdings BHD   452 
 58,103   *  Bluegreen Vacations Holding Corp   778 
 1,487,459      BNP Paribas S.A.   53,808 
 3,446,316      BOC Hong Kong Holdings Ltd   9,136 
 5,139   *,e  Bogota Financial Corp   39 
 3,728   e  BOK Financial Corp   192 
 134,673      Boston Private Financial Holdings, Inc   743 
 6,023      BRE Bank S.A.   260 
 31,695      Bridge Bancorp, Inc   552 
 58,226   *,e  Bridgewater Bancshares, Inc   553 
7

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES       COMPANY  VALUE
(000)
 
 162,343      Brookline Bancorp, Inc  $1,403 
 32,845      Bryn Mawr Bank Corp   817 
 275,260      BS Financial Group, Inc   1,191 
 6,159,322      Bumiputra-Commerce Holdings BHD   4,574 
 31,704   e  Business First Bancshares, Inc   476 
 43,711      Byline Bancorp, Inc   493 
 2,967   e  C&F Financial Corp   88 
 200,462   e  Cadence BanCorp   1,722 
 3,539,365      CaixaBank S.A.   7,514 
 6,635   *,e  California Bancorp, Inc   75 
 11,390   e  Cambridge Bancorp   605 
 24,528      Camden National Corp   741 
 32,122      Can Fin Homes Ltd   182 
 487,141      Canadian Imperial Bank of Commerce   36,413 
 186,483   e  Canadian Western Bank   3,760 
 7,115   *  Capital Bancorp, Inc   67 
 21,553   e  Capital City Bank Group, Inc   405 
 495,941      Capitec Bank Holdings Ltd   30,546 
 231,184      Capitol Federal Financial   2,142 
 12,574      Capstar Financial Holdings, Inc   123 
 40,477   e  Carter Bank & Trust   269 
 236,156      Cathay General Bancorp   5,120 
 4,498   e  CB Financial Services, Inc   86 
 29,175   e  CBTX, Inc   477 
 338,461      Central Pacific Financial Corp   4,593 
 9,160   e  Central Valley Community Bancorp   113 
 3,714   e  Century Bancorp, Inc   244 
 4,821,338      Chang Hwa Commercial Bank   2,902 
 2,742   e  Chemung Financial Corp   79 
 368,854      Chiba Bank Ltd   2,035 
 8,871,481      China Citic Bank   3,438 
 306,700      China CITIC Bank Corp Ltd   228 
 696,300      China Construction Bank Corp   630 
 92,977,159      China Construction Bank Corp (Hong Kong)   60,414 
 2,449,100      China Everbright Bank Co Ltd   1,315 
 3,380,685      China Everbright Bank Co Ltd (Hong Kong)   1,069 
 3,786,396      China Merchants Bank Co Ltd   17,968 
 4,655,886      China Merchants Bank Co Ltd (Class A)   24,712 
 2,210,000      China Minsheng Banking Corp Ltd   1,724 
 5,824,719      China Minsheng Banking Corp Ltd (Hong Kong)   3,061 
 16,976,422      Chinatrust Financial Holding Co   10,846 
 8,754      ChoiceOne Financial Services, Inc   228 
 2,533,084      Chongqing Rural Commercial Bank   936 
 166,000   e  Chugoku Bank Ltd   1,592 
 11,100   e  Chukyo Bank Ltd   224 
 189,084      CIT Group, Inc   3,349 
 6,661,730      Citigroup, Inc   287,187 
 11,416   e  Citizens & Northern Corp   185 
 2,053,228      Citizens Financial Group, Inc   51,906 
 4,243   e  Citizens Holding Co   95 
 23,774      City Holding Co   1,370 
 305,330      City Union Bank Ltd   580 
 51,058      Civista Bancshares, Inc   639 
 29,400      CNB Financial Corp   437 
8

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES       COMPANY  VALUE
(000)
 
 7,595   *,e  Coastal Financial Corp  $93 
 8,564   e  Codorus Valley Bancorp, Inc   112 
 309,317   *,e  Collector AB   499 
 6,064      Colony Bankcorp Inc   65 
 114,316      Columbia Banking System, Inc   2,726 
 67,127   *  Columbia Financial, Inc   745 
 22,607   e  Comerica, Inc   865 
 15,177      Commerce Bancshares, Inc   854 
 1,024,185      Commercial Bank of Qatar QSC   1,144 
 2,993,005      Commercial International Bank   12,633 
 1,175,671   e  Commerzbank AG.   5,782 
 1,822,262      Commonwealth Bank of Australia   83,854 
 84,142   e  Community Bank System, Inc   4,582 
 12,827      Community Bankers Trust Corp   65 
 3,821   e  Community Financial Corp   82 
 25,754      Community Trust Bancorp, Inc   728 
 715,360      Concordia Financial Group Ltd   2,488 
 107,868      ConnectOne Bancorp, Inc   1,518 
 595,537,580      Corpbanca S.A.   1,582 
 4,348   e  County Bancorp, Inc   82 
 264,901      Credicorp Ltd (NY)   32,845 
 3,433,384      Credit Agricole S.A.   29,956 
 94,739      Credito Emiliano S.p.A.   443 
 71,027   *,e  Credito Valtellinese S.p.A   678 
 78,461   *,e  CrossFirst Bankshares, Inc   682 
 8,309      Cullen/Frost Bankers, Inc   531 
 71,274   *,e  Customers Bancorp, Inc   798 
 232,005      CVB Financial Corp   3,858 
 1,919,391      CYBG plc   1,810 
 5,646,074   *,†  Cyprus Popular Bank Public Co Ltd   66 
 483,627      Dah Sing Banking Group Ltd   420 
 163,508      Dah Sing Financial Holdings Ltd   395 
 38,886      Daishi Hokuetsu Financial Group, Inc   804 
 732,489      Danske Bank AS   9,908 
 1,670,946      DBS Group Holdings Ltd   24,565 
 162,790   g  Deutsche Pfandbriefbank AG.   1,079 
 147,544      Development Credit Bank Ltd   157 
 167,975      DGB Financial Group Co Ltd   787 
 56,143      Dime Community Bancshares   635 
 407,293      DNB NOR Holding ASA   5,674 
 1,553,662      Doha Bank QSC   1,000 
 878,567      Dubai Islamic Bank PJSC   1,036 
 11,042,715      E.Sun Financial Holding Co Ltd   9,834 
 5,464   e  Eagle Bancorp Montana, Inc   96 
 49,910   e  Eagle Bancorp, Inc   1,337 
 76,652      East West Bancorp, Inc   2,510 
 38,675      Ehime Bank Ltd   434 
 2,357,182      Emirates NBD Bank PJSC   6,885 
 7,024   e  Enterprise Bancorp, Inc   148 
 47,740      Enterprise Financial Services Corp   1,302 
 12,910   e  Equitable Group, Inc   728 
 24,946   *,e  Equity Bancshares, Inc   387 
 143,948      Erste Bank der Oesterreichischen Sparkassen AG.   3,014 
 5,131   *,e  Esquire Financial Holdings, Inc   77 
9

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES       COMPANY  VALUE
(000)
 
 6,994   e  ESSA Bancorp, Inc  $86 
 339,699      Essent Group Ltd   12,572 
 2,545,335   *  Eurobank Ergasias S.A.   1,120 
 898   e  Evans Bancorp, Inc   20 
 2,245,885      Far Eastern International Bank   798 
 11,267   e  Farmers & Merchants Bancorp, Inc   225 
 47,282      Farmers National Banc Corp   516 
 48,277      FB Financial Corp   1,213 
 12,656      Federal Agricultural Mortgage Corp (FAMC)   806 
 1,424,434      Federal Bank Ltd   943 
 20,030      FIBI Holdings Ltd   457 
 3,481   e  Fidelity D&D Bancorp, Inc   170 
 2,877,634      Fifth Third Bancorp   61,351 
 49,073      Financial Institutions, Inc   756 
 1,149,114      FinecoBank Banca Fineco S.p.A   15,828 
 115,297   e  First Bancorp (NC)   2,413 
 693,822   e  First Bancorp (Puerto Rico)   3,622 
 8,327      First Bancorp, Inc   176 
 38,462      First Bancshares, Inc   807 
 11,992   e  First Bank   74 
 123,298      First Busey Corp   1,959 
 6,295      First Business Financial Services, Inc   90 
 2,987   e  First Capital Inc   167 
 6,532      First Choice Bancorp   87 
 3,827      First Citizens Bancshares, Inc (Class A)   1,220 
 226,699      First Commonwealth Financial Corp   1,755 
 28,627   e  First Community Bancshares, Inc   517 
 6,484   e  First Community Corp   88 
 153,083      First Financial Bancorp   1,838 
 105,201      First Financial Bankshares, Inc   2,936 
 23,660      First Financial Corp   743 
 9,866,472      First Financial Holding Co Ltd   7,041 
 195,062      First Foundation, Inc   2,549 
 455   e  First Guaranty Bancshares, Inc   5 
 17,104      First Hawaiian, Inc   247 
 85,466      First Horizon National Corp   806 
 79,466      First International Bank Of Israel Ltd   1,649 
 18,624      First Internet Bancorp   274 
 80,254      First Interstate Bancsystem, Inc   2,556 
 177,148      First Merchants Corp   4,103 
 16,763   e  First Mid-Illinois Bancshares, Inc   418 
 183,832      First Midwest Bancorp, Inc   1,982 
 19,743      First National Financial Corp   475 
 7,554   e  First Northwest Bancorp   75 
 53,041      First of Long Island Corp   786 
 364,770      First Republic Bank   39,782 
 1,714   e  First Savings Financial Group, Inc   93 
 6,195   e  First United Corp   73 
 5,737   *,e  First Western Financial, Inc   74 
 209,931   e  Flagstar Bancorp, Inc   6,220 
 91,997      Flushing Financial Corp   968 
 45,292      FNB Corp   307 
 14,742   e  FNCB Bancorp Inc   78 
 3,352   e  Franklin Financial Services Corp   72 
10

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES       COMPANY  VALUE
(000)
 
 3,741   e  FS Bancorp, Inc  $153 
 119,631      Fukuoka Financial Group, Inc   2,011 
 256,153      Fulton Financial Corp   2,390 
 8,656   *,e  FVCBankcorp, Inc   87 
 42,342   e  Genworth MI Canada, Inc   1,098 
 357,185      Genworth Mortgage Insurance Australia Ltd   401 
 36,784      German American Bancorp, Inc   998 
 224,928      Glacier Bancorp, Inc   7,209 
 19,077      Great Southern Bancorp, Inc   691 
 153,412      Great Western Bancorp, Inc   1,910 
 3,349      Greene County Bancorp, Inc   73 
 4,610,969      Grupo Financiero Banorte S.A. de C.V.   15,978 
 106,567      Grupo Financiero Galicia S.A. (ADR) (Class B)   772 
 2,177,965   e  Grupo Financiero Inbursa S.A.   1,697 
 1,071,320      Grupo Security S.A.   177 
 52,583   e  Grupo Supervielle S.A. (ADR)   95 
 6,131   e  Guaranty Bancshares, Inc   153 
 390,400      Gunma Bank Ltd   1,302 
 225,500      Habib Bank Ltd   178 
 405,300      Hachijuni Bank Ltd   1,594 
 701,057      Hana Financial Group, Inc   16,842 
 159,974      Hancock Whitney Corp   3,009 
 967,185      Hang Seng Bank Ltd   14,329 
 58,599      Hanmi Financial Corp   481 
 92,100      HarborOne Northeast Bancorp, Inc   743 
 4,314   e  Hawthorn Bancshares Inc   82 
 10,377   e  HBT Financial, Inc   116 
 578,764      HDFC Bank Ltd   8,496 
 289,988      HDFC Bank Ltd (ADR)   14,488 
 70,010      Heartland Financial USA, Inc   2,100 
 247,050   e  Heritage Commerce Corp   1,644 
 54,052   e  Heritage Financial Corp   994 
 385,214      Hilltop Holdings, Inc   7,928 
 1,835      Hingham Institution for Savings   338 
 281,102      Hiroshima Bank Ltd   1,634 
 24,100      Hokkoku Bank Ltd   709 
 129,860      Hokuhoku Financial Group, Inc   1,307 
 7,151      Home Bancorp, Inc   173 
 240,435      Home Bancshares, Inc   3,645 
 55,240   *  Home Capital Group, Inc   895 
 16,628      HomeStreet, Inc   428 
 53,976      HomeTrust Bancshares, Inc   733 
 575,320      Hong Leong Bank BHD   2,088 
 162,573      Hong Leong Credit BHD   561 
 184,694      Hope Bancorp, Inc   1,401 
 165,064   e  Horizon Bancorp   1,665 
 1,938,976      Housing Development Finance Corp   45,959 
 10,574   *,e  Howard Bancorp, Inc   95 
 2,977,835      HSBC Holdings plc   11,650 
 7,748,270      Hua Nan Financial Holdings Co Ltd   4,750 
 599,200      Huaxia Bank Co Ltd   541 
 133,979      Huntington Bancshares, Inc   1,229 
 230,074      Hyakugo Bank Ltd   720 
 23,621      Hyakujushi Bank Ltd   401 
11

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES       COMPANY  VALUE
(000)
 
 7,680,669      ICICI Bank Ltd  $37,138 
 1,311,200      ICICI Bank Ltd (ADR)   12,889 
 2,208,467   *  IDFC Bank Ltd   900 
 71,206   *,e  Illimity Bank S.p.A   754 
 50,967      Independent Bank Corp (MA)   2,670 
 112,013      Independent Bank Corp (MI)   1,408 
 61,294      Independent Bank Group, Inc   2,708 
 103,637      India Infoline Ltd   112 
 155,100      IndusInd Bank Ltd   1,114 
 3,093,200      Industrial & Commercial Bank of China Ltd   2,238 
 58,887,506      Industrial & Commercial Bank of China Ltd (Hong Kong)   30,674 
 1,199,019      Industrial Bank Co Ltd   2,849 
 244,231      Industrial Bank of Korea   1,668 
 30,508,414      ING Groep NV   217,734 
 82,878      International Bancshares Corp   2,160 
 17,930,390   e  Intesa Sanpaolo S.p.A.   33,735 
 7,335   e  Investar Holding Corp   94 
 4,222,177      Investimentos Itau S.A. - PR   6,616 
 313,997      Investors Bancorp, Inc   2,280 
 154,711      Israel Discount Bank Ltd   417 
 255,754      Iyo Bank Ltd   1,695 
 329,831      Japan Post Bank Co Ltd   2,573 
 255,612      JB Financial Group Co Ltd   985 
 102,900      Jiangsu Changshu Rural Commercial Bank Co Ltd   118 
 9,271,144   n  JPMorgan Chase & Co   892,533 
 31,940      Juroku Bank Ltd   609 
 63,943      Jyske Bank   1,797 
 105,800      Kansai Mirai Financial Group, Inc   435 
 321,355      Karur Vysya Bank Ltd   142 
 1,692,434      Kasikornbank PCL (Foreign)   4,120 
 381,426      KB Financial Group, Inc   12,282 
 469,661      KBC Groep NV   23,552 
 199,753   e  Kearny Financial Corp   1,440 
 109,748      Keiyo Bank Ltd   509 
 120,473      Keycorp   1,437 
 233,132      Kiatnakin Bank PCL (Foreign)   275 
 1,536,000      King’s Town Bank   1,971 
 64,619      Kiyo Bank Ltd   998 
 37,663      Komercni Banka AS   794 
 3,650,848      Krung Thai Bank PCL (Foreign)   1,025 
 391,800   e  Kyushu Financial Group, Inc   1,838 
 149,280      Lakeland Bancorp, Inc   1,485 
 36,985      Lakeland Financial Corp   1,524 
 3,373      Landmark Bancorp, Inc   72 
 46,812   e  Laurentian Bank of Canada   962 
 10,582      LCNB Corp   144 
 11,681   *,e  LendingTree, Inc   3,585 
 3,834   e  Level One Bancorp, Inc   60 
 2,234,476      Liberbank S.A.   595 
 274,560      LIC Housing Finance Ltd   1,033 
 14,781   e  Liechtensteinische Landesbank AG.   837 
 4,748   *,e  Limestone Bancorp, Inc   50 
 44,583   e  Live Oak Bancshares, Inc   1,129 
12

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES       COMPANY  VALUE
(000)
 
 53,473,511      Lloyds TSB Group plc  $18,153 
 19,257      Luther Burbank Corp   161 
 16,072      M&T Bank Corp   1,480 
 37,520   e  Macatawa Bank Corp   245 
 7,051   e  Mackinac Financial Corp   68 
 5,818   *,e  MainStreet Bancshares Inc   71 
 3,803,705      Malayan Banking BHD   6,617 
 1,456,538      Malaysia Building Society   179 
 1,879,722      Masraf Al Rayan   2,152 
 207,100      MCB Bank Ltd   217 
 2,222,821      Mediobanca S.p.A.   17,418 
 10,528,363      Mega Financial Holding Co Ltd   10,162 
 27,295      Mercantile Bank Corp   492 
 9,883      Merchants Bancorp   195 
 237,529      Meridian Bancorp, Inc   2,458 
 4,885   e  Meridian Corp   79 
 59,766      Meta Financial Group, Inc   1,149 
 21,520   e  Metrocity Bankshares, Inc   283 
 3,679,751      Metropolitan Bank & Trust   2,913 
 19,793   *,e  Metropolitan Bank Holding Corp   554 
 710,409      MGIC Investment Corp   6,294 
 5,477   e  Mid Penn Bancorp, Inc   95 
 5,342   e  Middlefield Banc Corp   103 
 41,161      Midland States Bancorp, Inc   529 
 30,222   e  MidWestOne Financial Group, Inc   540 
 10,721,424      Mitsubishi UFJ Financial Group, Inc   42,788 
 17,500      Miyazaki Bank Ltd   400 
 36,761      Mizrahi Tefahot Bank Ltd   652 
 2,110,594      Mizuho Financial Group, Inc   26,344 
 3,624   *,e  MMA Capital Holdings Inc   82 
 1,001,601   g  Moneta Money Bank AS   2,300 
 202,146   *  Mr Cooper Group, Inc   4,512 
 43,368   e  Musashino Bank Ltd   646 
 8,303   e  MVB Financial Corp   133 
 27,849      Nanto Bank Ltd   516 
 3,565,077      National Australia Bank Ltd   45,800 
 184,156      National Bank Holdings Corp   4,834 
 2,637,606      National Bank of Abu Dhabi PJSC   8,139 
 317,663      National Bank of Canada   15,779 
 540,320   *  National Bank of Greece S.A.   677 
 383,000   *  National Bank Of Pakistan   92 
 5,514   e  National Bankshares, Inc   140 
 1,408,587      National Commercial Bank   13,992 
 85,405      NBT Bancorp, Inc   2,291 
 194,782      Nedbank Group Ltd   1,166 
 67,749      New York Community Bancorp, Inc   560 
 41,934   g  NIBC Holding NV   364 
 14,999   *  Nicolet Bankshares, Inc   819 
 140,964   e  Nishi-Nippon Financial Holdings, Inc   983 
 358,623   *  NMI Holdings, Inc   6,383 
 3,557,249      Nordea Bank Abp   27,031 
 291,797      North Pacific Bank Ltd   636 
 11,761   e  Northeast Bank   216 
 79,500      Northfield Bancorp, Inc   725 
13

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES       COMPANY  VALUE
(000)
 
 9,494      Northrim BanCorp, Inc  $242 
 183,180   e  Northwest Bancshares, Inc   1,685 
 245,329      Norwegian Finans Holding ASA   1,787 
 3,748   e  Norwood Financial Corp   91 
 537,131      Nova Ljubljanska Banka dd (ADR)   4,677 
 6,799   e  Oak Valley Bancorp   78 
 1,119,000      O-Bank Co Ltd   261 
 123,268      OceanFirst Financial Corp   1,688 
 931   e  Oconee Federal Financial Corp   20 
 133,687      OFG Bancorp   1,666 
 37,607   e  Ogaki Kyoritsu Bank Ltd   853 
 3,684      Ohio Valley Banc Corp   76 
 15,674      Oita Bank Ltd   364 
 267,527      Old National Bancorp   3,360 
 85,285   e  Old Second Bancorp, Inc   639 
 838,805      OneSavings Bank plc   3,016 
 4,664      OP Bancorp   27 
 40,271   e  Origin Bancorp, Inc   860 
 9,161   e  Orrstown Financial Services, Inc   117 
 214,081      OTP Bank   6,444 
 3,614,676      Oversea-Chinese Banking Corp   22,479 
 121,253      Pacific Premier Bancorp, Inc   2,442 
 104,375      PacWest Bancorp   1,783 
 620,500      Paragon Group of Cos plc   2,660 
 22,037   e  Park National Corp   1,806 
 8,733   e  Parke Bancorp, Inc   104 
 9,161      Partners Bancorp   52 
 10,741      PCB Bancorp   94 
 55,059      PCSB Financial Corp   665 
 6,437   *,e  PDL Community Bancorp   57 
 60,184      Peapack Gladstone Financial Corp   912 
 6,560   e  Penns Woods Bancorp, Inc   130 
 124,095      PennyMac Financial Services, Inc   7,212 
 3,881   e  Peoples Bancorp of North Carolina, Inc   60 
 28,421      Peoples Bancorp, Inc   543 
 11,715   e  Peoples Financial Services Corp   407 
 64,500      People’s United Financial, Inc   665 
 5,910,838   *  Permanent TSB Group Holdings plc   3,445 
 4,803,996      Ping An Bank Co Ltd   10,749 
 9,614      Pinnacle Financial Partners, Inc   342 
 10,694   *,e  Pioneer Bancorp, Inc   95 
 266,940   *  Piraeus Bank S.A.   330 
 4,182   e  Plumas Bancorp   82 
 53,388   g  PNB Housing Finance Ltd   246 
 1,292,106      PNC Financial Services Group, Inc   142,015 
 114,084      Popular, Inc   4,138 
 9,696,000   g  Postal Savings Bank of China Co Ltd   4,085 
 784,000      Postal Savings Bank of China Co Ltd   520 
 442,121      Powszechna Kasa Oszczednosci Bank Polski S.A.   2,427 
 22,756   e  Preferred Bank   731 
 10,479      Premier Financial Bancorp, Inc   113 
 140,651      Premier Financial Corp   2,191 
 10,550   *,e  Professional Holding Corp   141 
 53,144      Prosperity Bancshares, Inc   2,754 
14

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES       COMPANY  VALUE
(000)
 
 5,433      Provident Bancorp Inc  $42 
 4,566   e  Provident Financial Holdings, Inc   54 
 148,581      Provident Financial Services, Inc   1,813 
 5,045      Prudential Bancorp, Inc   53 
 13,476,574      PT Bank Central Asia Tbk   24,600 
 2,368,900      PT Bank Jabar Banten Tbk   139 
 17,832,205      PT Bank Mandiri Persero Tbk   5,964 
 7,193,019      PT Bank Negara Indonesia   2,158 
 3,366,500      PT Bank Pembangunan Daerah Jawa Timur Tbk   116 
 4,073,900      PT Bank Tabungan Negara Tbk   331 
 1,895,300      PT Bank Tabungan Pensiunan Nasional Syariah Tbk   420 
 2,782,189      Public Bank BHD   10,523 
 360,710      Qatar International Islamic Bank QSC   832 
 570,069      Qatar Islamic Bank SAQ   2,586 
 4,314,304      Qatar National Bank   21,599 
 40,299   e  QCR Holdings, Inc   1,105 
 349,700      Qingdao Rural Commercial Bank Corp   259 
 1,051,200      Radian Group, Inc   15,358 
 382,303   e  Raiffeisen International Bank Holding AG.   5,852 
 20,819   e  RBB Bancorp   236 
 348,704   g  RBL Bank Ltd   808 
 7,628      Red River Bancshares Inc   328 
 478,477   e  Regional SAB de C.V.   1,136 
 124,156      Regions Financial Corp   1,432 
 22,694   e  Reliant Bancorp Inc   329 
 82,344   e  Renasant Corp   1,871 
 15,740      Republic Bancorp, Inc (Class A)   443 
 35,351   *,e  Republic First Bancorp, Inc   70 
 2,589,258      Resona Holdings, Inc   8,821 
 1,419,139      RHB Capital BHD   1,563 
 10,685      Richmond Mutual Bancorporation, Inc   113 
 50,942      Ringkjoebing Landbobank A.S.   3,867 
 16,614      Riverview Bancorp, Inc   69 
 1,277,307      Riyad Bank   6,366 
 436,783   *,e  Rocket Cos, Inc   8,705 
 5,200   *,†  Roskilde Bank    0 
 1,655,812      Royal Bank of Canada   116,257 
 1,762,386      Royal Bank of Scotland Group plc   2,413 
 62,700   e  S&T Bancorp, Inc   1,109 
 2,293   e  Salisbury Bancorp, Inc   72 
 925,151      Samba Financial Group   6,654 
 22,200      San ju San Financial Group, Inc   290 
 126,043      Sandy Spring Bancorp, Inc   2,909 
 158,964      San-In Godo Bank Ltd   856 
 682,725      Saudi British Bank   4,611 
 6,394   e  SB Financial Group, Inc   86 
 5,217,618      Sberbank of Russia (ADR)   60,890 
 80,415   *  Seacoast Banking Corp of Florida   1,450 
 235,520      Security Bank Corp   450 
 8,297   *,e  Security National Financial Corp   53 
 13,194   *,e  Select Bancorp, Inc   95 
 237,480      Senshu Ikeda Holdings, Inc   396 
 44,848   e  ServisFirst Bancshares, Inc   1,526 
 410,217   e  Seven Bank Ltd   994 
15

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES       COMPANY  VALUE
(000)
 
 3,150,393      Shanghai Commercial & Savings Bank Ltd  $4,252 
 1,715,700      Shanghai Pudong Development Bank Co Ltd   2,372 
 65,700      Shiga Bank Ltd   1,541 
 41,378      Shikoku Bank Ltd   293 
 442,608      Shinhan Financial Group Co Ltd   10,384 
 108,158   *  Shinsei Bank Ltd   1,335 
 289,846      Shizuoka Bank Ltd   2,002 
 10,942      Shore Bancshares, Inc   120 
 3,349,300      Siam Commercial Bank PCL (ADR)   6,897 
 854,717      Siam Commercial Bank PCL (Foreign)   1,760 
 23,926   e  Sierra Bancorp   402 
 74,571      Signature Bank   6,189 
 47,645   *  Silvergate Capital Corp   686 
 269,641      Simmons First National Corp (Class A)   4,275 
 9,648,617      SinoPac Financial Holdings Co Ltd   3,638 
 172,615   g  Skandiabanken ASA   1,248 
 2,354,237      Skandinaviska Enskilda Banken AB (Class A)   20,909 
 12,013      SmartFinancial, Inc   163 
 107,751      Societe Generale   1,430 
 18,856   e  South Plains Financial Inc   234 
 114,771      South State Corp   5,526 
 11,327   *,e  Southern First Bancshares, Inc   274 
 6,642   e  Southern Missouri Bancorp, Inc   157 
 61,298      Southern National Bancorp of Virginia, Inc   532 
 48,994      Southside Bancshares, Inc   1,197 
 92,203      Spar Nord Bank AS   689 
 46,662      Sparebank Oestlandet   439 
 197,014      SpareBank SR-Bank ASA   1,630 
 147,283      Sparebanken Midt-Norge   1,331 
 169,786      Sparebanken Nord-Norge   1,175 
 21,424   *  Spirit of Texas Bancshares, Inc   239 
 3,397   e  St Galler Kantonalbank   1,461 
 3,532   e  Standard AVB Financial Corp   115 
 652,491      Standard Bank Group Ltd   4,191 
 4,119,431      Standard Chartered plc   18,956 
 1,747,282   *  State Bank of India   4,410 
 24,269      Sterling Bancorp   255 
 13,046      Sterling Bancorp, Inc   39 
 30,927      Stock Yards Bancorp, Inc   1,053 
 2,674,285      Sumitomo Mitsui Financial Group, Inc   74,775 
 258,545      Sumitomo Mitsui Trust Holdings, Inc   6,878 
 8,779      Summit Financial Group, Inc   130 
 1,011,064   e  Suruga Bank Ltd   3,658 
 7,940   *  SVB Financial Group   1,911 
 627,608      Svenska Handelsbanken AB   5,251 
 177,161      Swedbank AB (A Shares)   2,774 
 67,797      Sydbank AS   1,063 
 22,707      Synovus Financial Corp   481 
 2,489,350      Taichung Commercial Bank   923 
 9,230,972      Taishin Financial Holdings Co Ltd   4,107 
 5,413,628      Taiwan Business Bank   1,794 
 8,784,200      Taiwan Cooperative Financial Holding   5,947 
 1,076,641   e  TCF Financial Corp   25,150 
 955,438      TCS Group Holding plc (ADR)   25,271 
16

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES       COMPANY  VALUE
(000)
 
 6,792      Territorial Bancorp, Inc  $137 
 84,553   *  Texas Capital Bancshares, Inc   2,632 
 28,300      Texcell-NetCom Co Ltd   136 
 82,740      TFS Financial Corp   1,215 
 1,717,431      Thanachart Capital PCL   1,581 
 295,514   *  The Bancorp, Inc   2,553 
 124,266      Timbercreek Financial Corp   779 
 4,977      Timberland Bancorp, Inc   90 
 25,231,654      TMB Bank PCL (Foreign)   712 
 199,343      Toho Bank Ltd   439 
 32,478      Tokyo TY Financial Group, Inc   350 
 156,664      Tomony Holdings, Inc   508 
 21,986      Tompkins Financial Corp   1,249 
 2,236,291      Toronto-Dominion Bank   103,539 
 35,600      Towa Bank Ltd   245 
 155,960      Towne Bank   2,558 
 43,520   e  Trico Bancshares   1,066 
 145,332   *  Tristate Capital Holdings, Inc   1,924 
 36,520   *  Triumph Bancorp, Inc   1,137 
 4,069,132      Truist Financial Corp   154,830 
 405,830   e  Trustco Bank Corp NY   2,118 
 102,604      Trustmark Corp   2,197 
 13,568,264   *  Turkiye Garanti Bankasi AS   12,401 
 820,220   *  Turkiye Is Bankasi (Series C)   568 
 11,668,906   *  Turkiye Sinai Kalkinma Bankasi AS   1,677 
 75,087      UMB Financial Corp   3,680 
 32,183      Umpqua Holdings Corp   342 
 913,730   g  Unicaja Banco S.A.   687 
 7,378,091      UniCredit S.p.A.   60,959 
 1,762,456      Union Bank Of Taiwan   609 
 500,922      United Bank Ltd   348 
 215,888      United Bankshares, Inc   4,635 
 316,853      United Community Banks, Inc   5,364 
 1,316,500      United Overseas Bank Ltd   18,546 
 10,423   e  United Security Bancshares   64 
 7,187   e  Unity Bancorp, Inc   83 
 99,589      Univest Financial Corp   1,431 
 4,074,021      US Bancorp   146,054 
 17,859      Valiant Holding   1,502 
 614,703      Valley National Bancorp   4,211 
 327,408      Van Lanschot Kempen NV (ADR)   6,022 
 74,195   e  Veritex Holdings, Inc   1,264 
 787,528      VTB Bank PJSC (GDR) Equiduct   657 
 313,288   *  VTB Bank PJSC (GDR) Tradegate   261 
 47,151      Walker & Dunlop, Inc   2,499 
 197,058      Washington Federal, Inc   4,111 
 53,832      Washington Trust Bancorp, Inc   1,650 
 74,014      Waterstone Financial, Inc   1,146 
 12,855      Webster Financial Corp   339 
 3,698,514      Wells Fargo & Co   86,952 
 103,555      WesBanco, Inc   2,212 
 22,094      West Bancorporation, Inc   350 
 68,465      Westamerica Bancorporation   3,721 
 13,230      Western Alliance Bancorp   418 
17

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES       COMPANY  VALUE
(000)
 
 19,540   e  Western New England Bancorp, Inc  $110 
 3,511,777      Westpac Banking Corp   42,701 
 8,433      Wintrust Financial Corp   338 
 516,545      Woori Financial Group, Inc   3,777 
 169,554      WSFS Financial Corp   4,573 
 29,500   e  Yamagata Bank Ltd   383 
 419,199      Yamaguchi Financial Group, Inc   2,725 
 29,539      Yamanashi Chuo Bank Ltd   232 
 2,791,849   *  Yapi ve Kredi Bankasi   770 
 298,569      Yes Bank Ltd   54 
 117,805      Zions Bancorporation   3,442 
        TOTAL BANKS   5,537,815 
              
CAPITAL GOODS - 6.6%        
 469,676      3M Co   75,233 
 197,085   e  A.O. Smith Corp   10,406 
 110,490      Aalberts Industries NV   3,973 
 1,872,543      Aamal Co   482 
 33,466   e  Aaon, Inc   2,016 
 59,023      AAR Corp   1,110 
 1,495,038      ABB Ltd   38,010 
 1,792,406      Aboitiz Equity Ventures, Inc   1,713 
 366,270      AcBel Polytech, Inc   305 
 202,257      ACS Actividades de Construccion y Servicios S.A.   4,572 
 7,189      Acuity Brands, Inc   736 
 244,234      Adani Enterprises Ltd   991 
 38,793   e  Adapteo Oyj   349 
 289,428      AddTech AB   3,792 
 24,200   e  Advan Co Ltd   305 
 278,982      Advanced Drainage Systems, Inc   17,420 
 63,421      AECC Aero-Engine Control Co Ltd   184 
 123,600      AECC Aviation Power Co Ltd   751 
 289,229   *  Aecom Technology Corp   12,101 
 65,494      Aecon Group, Inc   673 
 47,463   *  Aegion Corp   671 
 122,776   *  AerCap Holdings NV   3,093 
 64,943   *  Aerojet Rocketdyne Holdings, Inc   2,591 
 91,759   *  Aerovironment, Inc   5,506 
 54,669      AFG Arbonia-Forster Hldg   704 
 20,513   e  AG Growth International Inc   417 
 609,462      AGCO Corp   45,265 
 38,912      AIA Engineering Ltd   977 
 57,852      Aica Kogyo Co Ltd   2,062 
 35,900   e  Aichi Corp   301 
 45,441      Aida Engineering Ltd   313 
 156,422      Air Lease Corp   4,602 
 1,229,523      Airbus SE   89,172 
 113,579      Airtac International Group   2,584 
 10,124   e  Alamo Group, Inc   1,094 
 59,473      Albany International Corp (Class A)   2,944 
 298,717      Alfa Laval AB   6,594 
 2,996,014   e  Alfa S.A. de C.V. (Class A)   1,858 
 14,577   *,g  Alfen Beheer BV   925 
 37,378   g  Alimak Group AB   507 
18

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES       COMPANY  VALUE
(000)
 
 277,616      Allegion plc  $27,459 
 3,485,000      Alliance Global Group, Inc   505 
 217,879      Allied Electronics Corp Ltd   287 
 13,546   e  Allied Motion Technologies, Inc   559 
 166,530      Allison Transmission Holdings, Inc   5,852 
 39,139   *,e  Alpha Pro Tech Ltd   578 
 13,931      Alstom Projects India Ltd   81 
 25,626      Alstom RGPT   1,280 
 44,426   *,e  Alta Equipment Group, Inc   348 
 112,414      Altra Industrial Motion Corp   4,156 
 292,032      Amada Co Ltd   2,732 
 18,702      Amara Raja Batteries Ltd   194 
 20,276   *  Ameresco, Inc   677 
 38,337   *,e  American Superconductor Corp   555 
 32,521   *  American Woodmark Corp   2,554 
 30,604      Ametek, Inc   3,042 
 127,196      Andritz AG.   3,926 
 32,887      Anest Iwata Corp   271 
 33,258      Apogee Enterprises, Inc   711 
 169,892      Applied Industrial Technologies, Inc   9,361 
 95,857   *  Aprogen KIC, Inc   149 
 123,103   e  Arcadis NV   2,672 
 79,180   e  Arcosa, Inc   3,491 
 24,422      Argan, Inc   1,024 
 70,690      Armstrong World Industries, Inc   4,864 
 55,900   e  Asahi Diamond Industrial Co Ltd   259 
 160,938      Asahi Glass Co Ltd   4,730 
 304,456      Aselsan Elektronik Sanayi Ve Ticaret AS   762 
 1,105,618      Ashok Leyland Ltd   1,124 
 1,913,483      Ashtead Group plc   68,907 
 62,437      Ashtrom Group Ltd   736 
 1,334,725      Assa Abloy AB   31,206 
 37,544   e  Astec Industries, Inc   2,037 
 64,272      Astral Polytechnik Ltd   1,071 
 38,292   *  Astronics Corp   296 
 295,145   *  Atkore International Group, Inc   6,709 
 390,515   e  Atlas Copco AB (A Shares)   18,619 
 173,936      Atlas Copco AB (B Shares)   7,259 
 80,545   *  ATS Automation Tooling Systems, Inc   1,047 
 1,161,631      Austal Ltd   2,744 
 141,300      AVIC Aircraft Co Ltd   480 
 178,700      AVIC Electromechanical Systems Co Ltd   302 
 53,100      AVIC Shenyang Aircraft Co Ltd   450 
 1,364,719      AviChina Industry & Technology Co   781 
 32,100      AVICOPTER plc   265 
 116,288   *  Axon Enterprise, Inc   10,547 
 263,094      Ayala Corp   3,762 
 56,122   *  AZEK Co, Inc   1,954 
 87,732      AZZ, Inc   2,993 
 38,301   e  Badger Daylighting Ltd   1,095 
 4,579,862      BAE Systems plc   28,443 
 769,115      Balfour Beatty plc   2,214 
 186,551   *,e  Ballard Power Systems, Inc   2,819 
 34,600      Bando Chemical Industries Ltd   198 
19

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES       COMPANY  VALUE
(000)
 
 199,763      Barloworld Ltd  $730 
 74,435      Barnes Group, Inc   2,660 
 17,998      BayWa AG.   592 
 87,079   *,e  Beacon Roofing Supply, Inc   2,706 
 78,529   e  Beijer Ref AB   2,586 
 86,591      Beijing New Building Materials plc   395 
 646      Belimo Holding AG.   4,877 
 1,195,000      BES Engineering Corp   313 
 25,945      BGF Co Ltd   91 
 731,752      Bharat Electronics Ltd   952 
 728,347      Bharat Heavy Electricals   291 
 139,870   e  Bidvest Group Ltd   1,148 
 15,379      Biesse S.p.A.   262 
 119,213      Bizlink Holdings Inc   936 
 410,030   *,e  Bloom Energy Corp   7,368 
 50,081   *  Blue Bird Corp   609 
 23,410      Blue Star Ltd   204 
 336,729   *  BMC Stock Holdings, Inc   14,422 
 9,327   e  Bobst Group AG.   578 
 210,000   g  BOC Aviation Ltd   1,439 
 210,283      Bodycote plc   1,575 
 962,098      Boeing Co   158,996 
 379,300   *  Bohai Leasing Co Ltd   156 
 2,336,503   *,e  Bombardier, Inc   579 
 23,943      Bonheur ASA   567 
 94,205   e  Boskalis Westminster   1,869 
 6,163      Bossard Holding AG.   1,113 
 212,530      Bouygues S.A.   7,344 
 20,535      Brenntag AG.   1,306 
 403,000      Brighton-Best International Taiwan, Inc   357 
 7,440      Bucher Industries AG.   2,834 
 11,144      Budimex S.A.   706 
 30,481      Bufab AB   473 
 398,416   *  Builders FirstSource, Inc   12,996 
 172,000      Bunka Shutter Co Ltd   1,361 
 410,727      Bunzl plc   13,261 
 6,263      Burckhardt Compression Holding AG.   1,572 
 4,809      Burkhalter Holding AG.   331 
 56,514      BWX Technologies, Inc   3,182 
 755,113      CAE, Inc   11,047 
 119,112   e  Caesarstone Sdot-Yam Ltd   1,167 
 27,548   e  CAI International, Inc   758 
 29,792      Carbone Lorraine   914 
 39,749      Carborundum Universal Ltd   146 
 46,941      Cargotec Corp (B Shares)   1,608 
 87,012      Carlisle Cos, Inc   10,648 
 1,437,940      Carrier Global Corp   43,915 
 1,454,539      Caterpillar, Inc   216,944 
 36,800      Central Glass Co Ltd   765 
 4,072      Cera Sanitaryware Ltd   129 
 96,159   *  Ceres Power Holdings plc   690 
 1,098,744      CH Karnchang PCL   592 
 643,800   e  Changsha Zoomlion Heavy Industry Science and Technology Development Co Ltd   622 
20

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES       COMPANY  VALUE
(000)
 
 85,011   *  Chart Industries, Inc  $5,974 
 80,668      Cheil Industries, Inc   7,239 
 382,636      Chicony Power Technology Co Ltd   882 
 65,000      China Aerospace Times Electronics Co Ltd   67 
 258,846      China Aircraft Leasing Group Holdings Ltd   220 
 34,383      China Avionics Systems Co Ltd   86 
 341,300      China Communications Construction Co Ltd   374 
 2,450,492      China Communications Construction Co Ltd (Hong Kong)   1,289 
 1,317,671      China Communications Services Corp Ltd   778 
 801,000      China Conch Venture Holdings Ltd   3,726 
 291,475      China Fangda Group Co Ltd   128 
 159,900      China Gezhouba Group Co Ltd   140 
 607,000      China High Speed Transmission Equipment Group Co Ltd   479 
 532,000      China Lesso Group Holdings Ltd   966 
 799,000      China Machinery Engineering Corp   165 
 29,200      China Meheco Co Ltd   63 
 297,000      China National Chemical Engineering Co Ltd   236 
 1,127,243      China Railway Construction Corp   780 
 670,600      China Railway Construction Corp Ltd   820 
 1,371,000      China Railway Group Ltd   1,089 
 2,125,027      China Railway Group Ltd (Hong Kong)   1,004 
 1,602,500      China Shipbuilding Industry Co Ltd   1,026 
 50,400      China Spacesat Co Ltd   247 
 2,512,906      China State Construction Engineering Corp Ltd   1,882 
 1,162,685      China State Construction International Holdings Ltd   763 
 56,217      China Yuchai International Ltd   1,012 
 275,145   *  Chiyoda Corp   666 
 11,300      Chiyoda Integre Co Ltd   175 
 12,960   e  Chori Co Ltd   199 
 34,700      Chudenko Corp   759 
 590,988   *  Churchill Capital Corp IV   5,922 
 144,500   g  CIMC Vehicles Group Co Ltd   135 
 88,806      CIMIC Group Ltd   1,190 
 32,250   *  CIRCOR International, Inc   882 
 3,046,796      Citic Pacific Ltd   2,259 
 2,641,000      Citic Resources Holdings Ltd   89 
 8,286      CJ Corp   575 
 2,547,319      CK Hutchison Holdings Ltd   15,436 
 54,193   e  CKD Corp   890 
 136,007      CNH Industrial NV   1,052 
 3,380,324      CNH Industrial NV (NYSE)   26,434 
 30,736   g  Cochin Shipyard Ltd   140 
 1,548,422      Cofide S.p.A.   710 
 227,000   *  Colfax Corp   7,119 
 67,709      Columbus McKinnon Corp   2,241 
 232,082      Comfort Systems USA, Inc   11,955 
 3,914,069      Compagnie de Saint-Gobain   163,949 
 8,117      Compagnie d’Entreprises CFE   535 
 125,217   e  COMSYS Holdings Corp   3,494 
 21,847   *,e  Concrete Pumping Holdings Inc   78 
 23,306      Construcciones y Auxiliar de Ferrocarriles S.A.   805 
 74,306   *  Construction Partners Inc   1,352 
21

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES       COMPANY  VALUE
(000)
 
 132,059      Contemporary Amperex Technology Co Ltd  $4,088 
 364,450      Continental Engineering Corp   255 
 1,510      Conzzeta AG.   1,611 
 59,616   *  Cornerstone Building Brands, Inc   476 
 25,995      Cosel Co Ltd   267 
 5,668      Crane Co   284 
 2,417,221      CRRC Corp Ltd   968 
 752,200      CRRC Corp Ltd (Class A)   609 
 5,582      CS Wind Corp   473 
 180,746   *  CSBC Corp Taiwan   151 
 54,084      CSW Industrials, Inc   4,178 
 545,000      CTCI Corp   736 
 46,823   e  Cubic Corp   2,724 
 60,997      Cummins India Ltd   369 
 20,258      Cummins, Inc   4,278 
 82,327      Curtiss-Wright Corp   7,678 
 24,406      Daelim Industrial Co   1,613 
 8,497      Daetwyler Holding AG.   1,894 
 177,452   *  Daewoo Engineering & Construction Co Ltd   422 
 60,133      Daewoo International Corp   687 
 20,513   *  Daewoo Shipbuilding & Marine Engineering Co Ltd   416 
 14,238      Dai-Dan Co Ltd   376 
 91,113      Daifuku Co Ltd   9,197 
 20,248      Daihen Corp   825 
 23,489      Daiho Corp   673 
 16,837      Daiichi Jitsugyo Co Ltd   596 
 379,240      Daikin Industries Ltd   70,074 
 35,100      Daiwa Industries Ltd   316 
 13,896   e  Danieli & Co S.p.A.   238 
 102,560      Danieli & Co S.p.A. (RSP)   1,144 
 2,337      Dassault Aviation S.A.   1,971 
 91,771      DCC plc   7,104 
 711,114      Deere & Co   157,604 
 15,484      Denyo Co Ltd   363 
 135,619      Deutz AG.   786 
 30,282   g  Dilip Buildcon Ltd   138 
 139,424      Diploma plc   3,953 
 3,473,000      DMCI Holdings, Inc   288 
 6,408,973      Dogan Sirketler Grubu Holdings   1,961 
 19,987      Donaldson Co, Inc   928 
 110,900      Dongfang Electric Corp Ltd   166 
 46,555      Doosan Bobcat, Inc   1,075 
 5,137   *  Doosan Corp   206 
 21,330   *  Doosan Fuel Cell Co Ltd   781 
 121,737   *  Doosan Heavy Industries and Construction Co Ltd   1,392 
 130,067   *  Doosan Infracore Co Ltd   973 
 16,381      Douglas Dynamics, Inc   560 
 772,716      Dover Corp   83,716 
 392,953   *,†  Drake & Scull International PJSC   1 
 232,718   *,e  DTXS Silk Road Investment Holdings Co Ltd   123 
 2,024,102      Dubai Investments PJSC   639 
 18,955   *  Ducommun, Inc   624 
 57,043      Duerr AG.   1,745 
 36,551   *  DXP Enterprises, Inc   590 
22

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES       COMPANY  VALUE
(000)
 
 32,590   *  Dycom Industries, Inc  $1,721 
 3,679,900      Dynasty Ceramic PCL   291 
 1,578   e  Eastern Co   31 
 1,614,706      Eaton Corp   164,748 
 100,700      Ebara Corp   2,731 
 9,043      Ecopro BM Co Ltd   1,053 
 79,076      Eiffage S.A.   6,454 
 1,245,700      Ekovest BHD   149 
 24,773      Elbit Systems Ltd   3,007 
 21,815      Elco Holdings Ltd   822 
 3,117      Electra Israel Ltd   1,406 
 437,453      ElSwedy Cables Holding Co   190 
 227,170      EMCOR Group, Inc   15,382 
 470,946   *,e  Emeco Holdings Ltd   287 
 78,678      Emerson Electric Co   5,159 
 8,660,988      Empresa Brasileira de Aeronautica S.A.   9,623 
 36,797      Encore Wire Corp   1,708 
 31,807   *,e  Energy Recovery, Inc   261 
 73,249      Enerpac Tool Group Corp   1,378 
 66,456      EnerSys   4,461 
 134,347      Engineers India Ltd   117 
 61,520      EnPro Industries, Inc   3,470 
 618,000   e  Enric Energy Equipment Holdings Ltd   273 
 51,831      Epiroc AB   719 
 87,589      Epiroc AB (Class A)   1,269 
 25,400      ESCO Technologies, Inc   2,046 
 58,871      Escorts Ltd   1,056 
 52,830      Eve Energy Co Ltd   387 
 4,347   e  EVI Industries, Inc   116 
 447,000   *  Evoqua Water Technologies Corp   9,485 
 23,789   e  FACC AG.   142 
 291,833      Famur S.A.   131 
 370,910   *  Fangda Carbon New Material Co Ltd   334 
 204,899      Fanuc Ltd   39,323 
 2,918,680      Far Eastern Textile Co Ltd   2,564 
 831,905      Fastenal Co   37,511 
 212,754      Federal Signal Corp   6,223 
 59,658   *  Feelux Co Ltd   177 
 53,018      Ferguson plc   5,335 
 452,194      Ferrovial S.A.   10,984 
 574,478   e  Fincantieri S.p.A   370 
 377,116      Finmeccanica S.p.A.   2,203 
 177,340   e  Finning International, Inc   2,712 
 59,219      Finolex Cables Ltd   222 
 83,144      Flowserve Corp   2,269 
 977,516      FLSmidth & Co AS   27,760 
 55,218   *  Fluidra S.A.   932 
 222,677      Fluor Corp   1,962 
 92,381      Fomento de Construcciones y Contratas S.A.   881 
 1,193,373      Fortive Corp   90,947 
 185,871      Fortune Brands Home & Security, Inc   16,082 
 2,525,224   e  Fosun International   2,958 
 158,505   *  Foundation Building Materials, Inc   2,492 
 52,264      Franklin Electric Co, Inc   3,075 
23

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES       COMPANY  VALUE
(000)
 
 407,578   *,e  FuelCell Energy, Inc  $872 
 89,269      Fuji Electric Holdings Co Ltd   2,830 
 69,645      Fuji Machine Manufacturing Co Ltd   1,380 
 253,778      Fujikura Ltd   704 
 70,839      Fujitec Co Ltd   1,517 
 6,571      Fukuda Corp   319 
 13,639      Fukushima Industries Corp   508 
 8,795,000   *  Fullshare Holdings Ltd   199 
 31,756      Furukawa Co Ltd   344 
 75,044      Furukawa Electric Co Ltd   1,794 
 38,281      Futaba Corp/Chiba   343 
 1,633,996      Gamuda BHD   1,375 
 62,233   *  Gates Industrial Corp plc   692 
 55,069      GATX Corp   3,511 
 356,541      GEA Group AG.   12,493 
 5,393      Geberit AG.   3,191 
 14,500      Gecoss Corp   130 
 108,657   *  GEK Group of Cos S.A.   781 
 6,912   *,e  Gencor Industries, Inc   76 
 97,718   *  Generac Holdings, Inc   18,922 
 362,296      General Dynamics Corp   50,153 
 1,883,970      General Electric Co   11,737 
 3,871   *,e  General Finance Corp   24 
 4,563      Georg Fischer AG.   4,738 
 139,998   *  Gibraltar Industries, Inc   9,119 
 18,801      Giken Seisakusho Co, Inc   722 
 52,056      Glory Ltd   1,167 
 3,266      GMM Pfaudler Ltd   177 
 113,561   *  GMS, Inc   2,737 
 75,887      Godrej Industries Ltd   424 
 22,539   e  Gorman-Rupp Co   664 
 56,685      Graco, Inc   3,478 
 116,700      GrafTech International Ltd   798 
 252,281      Grafton Group plc   2,194 
 21,376   e  Graham Corp   273 
 67,335      Granite Construction, Inc   1,186 
 58,964      Graphite India Ltd   156 
 296,250   *  Great Lakes Dredge & Dock Corp   2,817 
 47,923      Greenbrier Cos, Inc   1,409 
 69,468      Griffon Corp   1,357 
 444,184   e  Grupo Carso S.A. de C.V. (Series A1)   913 
 25,690   e  Grupo Empresarial San Jose   121 
 151,692   e  Grupo Rotoplas SAB de C.V.   130 
 54,688      GS Engineering & Construction Corp   1,126 
 75,554      GS Yuasa Corp   1,306 
 219,350      GT Capital Holdings, Inc   1,756 
 3,434,919      Gunkul Engineering PCL   244 
 68,800   *  Guocheng Mining Co Ltd   170 
 18,100      Guoxuan High-Tech Co Ltd   64 
 258,268      GWA International Ltd   517 
 57,439      H&E Equipment Services, Inc   1,129 
 638,813      Haitian International Holdings Ltd   1,487 
 268,796      Hangzhou Steam Turbine Co   304 
 39,879      Hanwa Co Ltd   798 
24

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES       COMPANY  VALUE
(000)
 
 19,348      Hanwha Corp  $416 
 539,400      HAP Seng Consolidated BHD   929 
 610,000   *  Harbin Power Equipment   174 
 42,794   e  Harmonic Drive Systems, Inc   2,760 
 184,649   *,e  Harsco Corp   2,568 
 122,499      Havells India Ltd   1,127 
 213,836      Hazama Ando Corp   1,478 
 39,502   *,e  HC2 Holdings, Inc   96 
 238,461   *  HD Supply Holdings, Inc   9,834 
 36,810      HDC Hyundai Development Co-Engineering & Construction   670 
 420,500   e  Hebei Construction Group Corp Ltd   806 
 30,100      Hefei Meiya Optoelectronic Technology, Inc   212 
 10,953      HEG Ltd   108 
 63,171   e  HEICO Corp   6,611 
 226,364      HEICO Corp (Class A)   20,069 
 60,077      Helios Technologies, Inc   2,187 
 42,404   *  Herc Holdings, Inc   1,680 
 113,531   *  Hexagon Composites ASA   631 
 1,098,353      Hexcel Corp   36,850 
 18,328      Hibiya Engineering Ltd   312 
 122,724      Hillenbrand, Inc   3,480 
 201,912   *  Hino Motors Ltd   1,310 
 9,000      Hirata Corp   541 
 20,424   e  Hisaka Works Ltd   174 
 192,226   *,e  Hitachi Construction Machinery Co Ltd   6,966 
 171,420      Hitachi Zosen Corp   727 
 122,271      Hiwin Technologies Corp   1,215 
 21,176      Hochtief AG.   1,644 
 3,189,844      Honeywell International, Inc   525,080 
 940,000   *  Hong Kong Finance Investment Holding Group Ltd   73 
 41,900      Hongfa Technology Co Ltd   283 
 45,550      Hoshizaki Electric Co Ltd   3,635 
 18,401      Hosokawa Micron Corp   956 
 1,045,887      Howden Joinery Group plc   7,960 
 665,968      Howmet Aerospace, Inc   11,135 
 109,200      Huangshi Dongbei Electrical Appliance Co Ltd   321 
 442,777      Hubbell, Inc   60,590 
 17,059      Huber & Suhner AG.   1,285 
 57,172      Huntington Ingalls   8,047 
 4,252   e  Hurco Cos, Inc   121 
 16,041      Hyster-Yale Materials Handling, Inc   596 
 11,006      Hyundai Construction Equipment Co Ltd   249 
 32,488      Hyundai Development Co   293 
 17,352   *  Hyundai Electric & Energy System Co Ltd   227 
 25,321      Hyundai Elevator Co Ltd   883 
 73,474      Hyundai Engineering & Construction Co Ltd   1,907 
 20,079   *  Hyundai Heavy Industries   1,416 
 22,074      Hyundai Mipo Dockyard   559 
 5,164      Hyundai Robotics Co Ltd   960 
 42,642   *  Hyundai Rotem Co Ltd   583 
 33,477      Idec Corp   607 
 10,830      IDEX Corp   1,975 
 10,270   *  IES Holdings, Inc   326 
25

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES       COMPANY  VALUE
(000)
 
 2,569,800      IJM Corp BHD  $892 
 5,971      Iljin Diamond Co Ltd   276 
 181,591      Illinois Tool Works, Inc   35,085 
 303,065      IMI plc   4,088 
 26,291   e  Implenia AG.   807 
 251,059   e  Impregilo S.p.A.   294 
 14,441      IMS-Intl Metal Service   141 
 84,236      Inaba Denki Sangyo Co Ltd   2,116 
 62,498      Inabata & Co Ltd   798 
 10,546   g  IndiaMart InterMesh Ltd   716 
 20,693      Indus Holding AG.   681 
 24,262   e  Industria Macchine Automatiche S.p.A.   1,914 
 926,859      Industries Qatar QSC   2,518 
 101,044      Indutrade AB   5,409 
 727,688   *,e  Ingersoll Rand, Inc   25,906 
 31,000      Inner Mongolia First Machinery Group Co Ltd   51 
 47,857      Instalco AB   1,064 
 40,284      Insteel Industries, Inc   753 
 84,856      Interpump Group S.p.A.   3,147 
 704      Interroll Holding AG.   1,781 
 138,702   e  Investment AB Latour   3,259 
 144,177      Inwido AB   1,465 
 109,024      Iochpe-Maxion S.A.   266 
 139,133      IRB Infrastructure Developers Ltd   214 
 13,447      IS Dongseo Co Ltd   469 
 19,400      Iseki & Co Ltd   262 
 146,900      Ishikawajima-Harima Heavy Industries Co Ltd   1,955 
 16,956      Italmobiliare S.p.A   586 
 345,797   *,e  Itm Power plc   1,160 
 1,383,593   e  Itochu Corp   35,428 
 750,645      ITT, Inc   44,326 
 42,822   e  Iwatani International Corp   1,605 
 185,924      Jacobs Engineering Group, Inc   17,248 
 11,932      Japan Pulp & Paper Co Ltd   425 
 66,861      Japan Steel Works Ltd   1,176 
 267,368      Jardine Matheson Holdings Ltd   10,628 
 206,688      Jardine Strategic Holdings Ltd   4,098 
 212,100   e  JDC Corp   1,253 
 109,783   *  JELD-WEN Holding, Inc   2,481 
 2,579,827      JG Summit Holdings (Series B)   3,214 
 410,396      JGC Corp   4,257 
 65,860      Jiangsu Hengli Hydraulic Co Ltd   694 
 104,500      Jiangsu Zhongtian Technology Co Ltd   161 
 25,375      John Bean Technologies Corp   2,332 
 552,031   g  John Laing Group plc   2,228 
 101,023   e  Johnson Controls International plc   4,127 
 578,342      Johnson Electric Holdings Ltd   1,260 
 22,060   g  JOST Werke AG.   890 
 177,982      JTEKT Corp   1,396 
 5,082      Judges Scientific plc   319 
 54,034      Jungheinrich AG.   1,860 
 3,527      Kaba Holding AG.   1,915 
 9,289      Kadant, Inc   1,018 
 58,775      Kajaria Ceramics Ltd   442 
26

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES       COMPANY  VALUE
(000)
 
 312,713      Kajima Corp  $3,768 
 32,955      Kalpataru Power Transmission Ltd   110 
 203,400   *  Kama Co Ltd   84 
 38,938      Kaman Corp   1,517 
 23,375      Kamei Corp   243 
 32,900      Kanamoto Co Ltd   750 
 104,101      Kandenko Co Ltd   850 
 81,600      Kanematsu Corp   1,001 
 2,450,151      KAP Industrial Holdings Ltd   356 
 6,954      Kardex AG.   1,293 
 23,800      Katakura Industries Co Ltd   279 
 124,732   e  Kawasaki Heavy Industries Ltd   1,685 
 11,844      KCC Corp   1,475 
 58,223      KEC International Ltd   272 
 40,727      KEI Industries Ltd   193 
 73,459      Keihan Electric Railway Co Ltd   3,050 
 81,358      Keller Group plc   639 
 2,017,928      Kennametal, Inc   58,399 
 13,175      KEPCO Engineering & Construction Co, Inc   183 
 1,356,979      Keppel Corp Ltd   4,445 
 233,671      Kinden Corp   4,127 
 48,000      King Slide Works Co Ltd   466 
 20,463      Kingspan Group plc   1,862 
 60,736      KION Group AG.   5,186 
 73,400      Kitz Corp   418 
 84,207      Kloeckner & Co AG.   537 
 67,633      Knorr-Bremse AG.   7,965 
 346,762      KOC Holding AS   657 
 15,822      Koenig & Bauer AG.   356 
 730,770      Komatsu Ltd   16,050 
 3,886   e  Komax Holding AG.   671 
 48,590   e  Komori Corp   341 
 73,113      Kone Oyj (Class B)   6,420 
 71,029      Konecranes Oyj   2,218 
 136,465      Kongsberg Gruppen ASA   2,050 
 289,756      Koninklijke BAM Groep NV   366 
 66,020      Korea Aerospace Industries Ltd   1,280 
 4,821      Korea Electric Terminal Co Ltd   186 
 434,744   *  Kornit Digital Ltd   28,202 
 137,960   *  Kratos Defense & Security Solutions, Inc   2,660 
 16,044      Krones AG.   992 
 953,414      Kubota Corp   17,083 
 151,804      Kumagai Gumi Co Ltd   3,912 
 59,997      Kung Long Batteries Industrial Co Ltd   284 
 86,010      Kurita Water Industries Ltd   2,844 
 33,654   e  Kyokuto Kaihatsu Kogyo Co Ltd   448 
 111,255      Kyowa Exeo Corp   2,905 
 47,822      Kyudenko Corp   1,378 
 6,128      Kyung Dong Navien Co Ltd   274 
 739,328      L3Harris Technologies, Inc   125,567 
 2,920      Lakshmi Machine Works Ltd   139 
 451,236      Larsen & Toubro Ltd   5,533 
 3,687   *,e  Lawson Products, Inc   151 
 32,235   *,e  LB Foster Co (Class A)   433 
27

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES       COMPANY  VALUE
(000)
 
 82,574      Legrand S.A.  $6,577 
 50,979      Lennox International, Inc   13,897 
 89,804      LG Corp   5,702 
 5,708      LG Hausys Ltd   276 
 128,704      LG International Corp   1,697 
 47,177      Lifco AB   3,649 
 10,394      LIG Nex1 Co Ltd   285 
 9,485      Lincoln Electric Holdings, Inc   873 
 147,552      Lindab International AB   2,564 
 8,990      Lindsay Corp   869 
 21,439      LISI   426 
 208,486      LIXIL Group Corp   4,214 
 404,788      Lockheed Martin Corp   155,147 
 5,028,355      Lonking Holdings Ltd   1,340 
 101,961      Lotte Corp   2,485 
 16,468      LS Cable Ltd   739 
 38,822      LS Industrial Systems Co Ltd   1,877 
 38,057      LSI Industries, Inc   257 
 49,122   e  Luxfer Holdings plc   616 
 28,867   *,e  Lydall, Inc   477 
 53,732      Mabuchi Motor Co Ltd   2,086 
 427,515      Maeda Corp   3,133 
 21,633      Maeda Kosen Co Ltd   562 
 73,862      Maeda Road Construction Co Ltd   1,353 
 166,463   e  Maire Tecnimont S.p.A   290 
 25,839      Makino Milling Machine Co Ltd   908 
 301,503   *  Makita Corp   14,430 
 1,774,600      Malaysian Resources Corp BHD   201 
 11,268   e  Manitou BF S.A.   217 
 58,662   *  Manitowoc Co, Inc   493 
 438,710      Marcopolo S.A.   209 
 1,326,575      Marubeni Corp   7,531 
 1,362,777      Masco Corp   75,130 
 44,794   *  Masonite International Corp   4,408 
 88,141   *  Mastec, Inc   3,720 
 27,600      Max Co Ltd   415 
 160,220   e  Maxar Technologies, Inc   3,996 
 2,387      MBB SE   237 
 881,679      Meggitt plc   2,926 
 35,871      Meidensha Corp   553 
 41,600      Meisei Industrial Co Ltd   339 
 645,715      Melrose Industries plc   957 
 81,731   *  Mercury Systems, Inc   6,331 
 63,473   *  Meritor, Inc   1,329 
 1,087,400      Metallurgical Corp of China Ltd   425 
 26,200      METAWATER Co Ltd   573 
 9,661   *  Middleby Corp   867 
 54,694   e  Mie Kotsu Group Holdings, Inc   229 
 24,521      Millat Tractors Ltd   128 
 24,545      Miller Industries, Inc   750 
 331,590      Minebea Co Ltd   6,316 
 88,862   e  Miraito Holdings Corp   1,364 
 253,854      MISUMI Group, Inc   7,117 
 1,214,713      Mitsubishi Corp   29,075 
28

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES       COMPANY  VALUE
(000)
 
 1,337,863      Mitsubishi Electric Corp  $18,154 
 287,727      Mitsubishi Heavy Industries Ltd   6,370 
 30,000      Mitsubishi Nichiyu Forklift Co Ltd   273 
 25,750      Mitsuboshi Belting Co Ltd   419 
 1,816,387      Mitsui & Co Ltd   31,211 
 79,516   *  Mitsui Engineering & Shipbuilding Co Ltd   286 
 61,131      Miura Co Ltd   2,998 
 111,598      Monadelphous Group Ltd   820 
 421,295      MonotaRO Co Ltd   20,926 
 70,755      Moog, Inc (Class A)   4,495 
 321,791      Morgan Crucible Co plc   987 
 45,468      Morgan Sindall plc   667 
 124,344      Mori Seiki Co Ltd   1,724 
 34,300      Morita Holdings Corp   669 
 93,692   e  Mota Engil SGPS S.A.   119 
 390,332   *  MRC Global, Inc   1,671 
 64,030      MSC Industrial Direct Co (Class A)   4,052 
 49,528      MTU Aero Engines Holding AG.   8,210 
 182,586      Mueller Industries, Inc   4,941 
 271,889      Mueller Water Products, Inc (Class A)   2,825 
 140,339   *,g  Munters Group AB   1,097 
 59,372   *  MYR Group, Inc   2,207 
 95,823      Nabtesco Corp   3,479 
 13,933      Nachi-Fujikoshi Corp   490 
 115,900      Nagase & Co Ltd   1,623 
 56,500   *  Nanyang Topsec Technologies Group, Inc   192 
 256,000      NARI Technology Co Ltd   744 
 221,821      National Central Cooling Co PJSC   134 
 8,248      National Presto Industries, Inc   675 
 147,634   *  Navistar International Corp   6,428 
 349,665      NBCC India Ltd   113 
 225,048      NCC AB (B Shares)   4,099 
 1,510,740   *,e  NEL ASA   2,747 
 12,479   *,e  Nesco Holdings, Inc   52 
 48,782      Nexans S.A.   2,818 
 61,222   e  NFI Group, Inc   761 
 241,280      NGK Insulators Ltd   3,445 
 290,813      Nibe Industrier AB   7,474 
 65,140      Nichias Corp   1,542 
 16,100      Nichiden Corp   353 
 53,245      Nichiha Corp   1,600 
 24,900   *  Nichireki Co Ltd   403 
 432,118      Nidec Corp   40,523 
 4,785      Nihon Trim Co Ltd   173 
 26,018   *  Nilfisk Holding A.S.   313 
 107,976      Nippo Corp   2,986 
 10,600      Nippon Carbon Co Ltd   377 
 36,459      Nippon Densetsu Kogyo Co Ltd   765 
 13,325      Nippon Koei Co Ltd   361 
 11,100      Nippon Road Co Ltd   814 
 7,472   *  Nippon Sharyo Ltd   200 
 101,000   e  Nippon Sheet Glass Co Ltd   368 
 19,417      Nippon Steel Trading Co Ltd   555 
 60,940   e  Nippon Thompson Co Ltd   217 
29

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES       COMPANY  VALUE
(000)
 
 175,265      Nishimatsu Construction Co Ltd  $3,481 
 20,700      Nishio Rent All Co Ltd   440 
 8,595      Nissei ASB Machine Co Ltd   347 
 150,931      Nisshinbo Industries, Inc   1,029 
 54,700      Nissin Electric Co Ltd   585 
 20,400      Nitta Corp   451 
 274,900   e  Nitto Boseki Co Ltd   11,755 
 42,135   e  Nitto Kogyo Corp   837 
 11,073      Nitto Kohki Co Ltd   220 
 16,235      Nittoku Engineering Co Ltd   531 
 36,254   *  NKT Holding AS   1,082 
 75,968   *,e  NN, Inc   392 
 2,400   *,†,e  Noble Group Ltd    0^
 43,009      Nolato AB (B Shares)   4,172 
 71,473   *  Nordex AG.   923 
 84,771      Nordson Corp   16,261 
 9,983      Noritake Co Ltd   314 
 20,251   e  Noritsu Koki Co Ltd   314 
 31,631      Noritz Corp   455 
 36,765      NORMA Group   1,142 
 366,019      Northrop Grumman Corp   115,475 
 16,023   *,e  Northwest Pipe Co   424 
 317,980   *  NOW, Inc   1,444 
 455,440      NRW Holdings Ltd   673 
 675,955      NSK Ltd   5,174 
 447,861      NTN Corp   843 
 9,344   *  NV5 Global Inc   493 
 23,068      nVent Electric plc   408 
 1,751,000      NWS Holdings Ltd   1,337 
 12,846      Obara Corp   433 
 451,813      Obayashi Corp   4,125 
 224,536      OC Oerlikon Corp AG.   1,788 
 5,961      OHB AG.   269 
 23,121   e  Oiles Corp   336 
 38,800      Okabe Co Ltd   300 
 25,667   e  Okuma Holdings, Inc   1,204 
 34,900      Okumura Corp   876 
 2,895   e  Omega Flex, Inc   454 
 232,268   *,e  Opus Global Rt   181 
 25,137      Organo Corp   1,363 
 120,682   *,e  Orion Energy Systems, Inc   914 
 89,706   e  OSG Corp   1,437 
 10,172      Oshkosh Corp   748 
 335,623      OSJB Holdings Corp   784 
 43,351      OSRAM Licht AG.   2,584 
 570,949      Otis Worldwide Corp   35,639 
 8,427      Otokar Otobus Karoseri Sanayi AS   150 
 700,653      Outotec Oyj   4,883 
 2,555,555      Owens Corning, Inc   175,848 
 44,770      PACCAR, Inc   3,818 
 205,711   *,e  PAE, Inc   1,749 
 15,149      Palfinger AG.   418 
 33,126      Park Aerospace Corp   362 
 790,947      Parker-Hannifin Corp   160,040 
30

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES       COMPANY  VALUE
(000)
 
 25,633   *  Parsons Corp  $860 
 29,053   e  Patrick Industries, Inc   1,671 
 206,398      Peab AB (Series B)   2,068 
 27,028      Pentair plc   1,237 
 1,530,800      Pentamaster Corp BHD   1,781 
 1,075,446      Penta-Ocean Construction Co Ltd   7,051 
 36,343      PER Aarsleff A.S.   1,525 
 5,381      Pfeiffer Vacuum Technology AG.   1,116 
 82,318   *  PGT, Inc   1,442 
 674,322   *,e  Plug Power, Inc   9,043 
 45,797      PNC Infratech Ltd   98 
 43,395      PNE AG.   273 
 27,834      Polycab India Ltd   310 
 263,532      Polypipe Group plc   1,470 
 223,705      Polyplex PCL (Foreign)   164 
 13,353   e  Porr AG.   182 
 20,269   e  Powell Industries, Inc   489 
 876,300      Power Construction Corp of China Ltd   487 
 40,858   *  PowerCell Sweden AB   1,062 
 2,757   e  Preformed Line Products Co   134 
 305,663      Primoris Services Corp   5,514 
 22,483   *  Proto Labs, Inc   2,912 
 32,075      Prysmian S.p.A.   931 
 1,641,072      PT AKR Corporindo Tbk   282 
 2,803,600   *,†  PT Inovisi Infracom Tbk    0^
 2,787,588      PT Pembangunan Perumahan Tbk   155 
 1,455,100   *  PT Sitara Propertindo Tbk   5 
 4,004,700      PT Waskita Karya Persero Tbk   135 
 2,866,172      PT Wijaya Karya   212 
 632,765      QinetiQ plc   2,265 
 54,011   e  Quanex Building Products Corp   996 
 242,244      Quanta Services, Inc   12,805 
 45,900      Raito Kogyo Co Ltd   692 
 173,632      Randon Participacoes S.A.   376 
 4,428      Rational AG.   3,473 
 55,666      Raven Industries, Inc   1,198 
 4,560,370      Raytheon Technologies Corp   262,404 
 84,426   *  RBC Bearings, Inc   10,233 
 426,000   *,e  Realord Group Holdings Ltd   239 
 298,797      Rechi Precision Co Ltd   203 
 60,981      Regal-Beloit Corp   5,724 
 867,914      Reliance Worldwide Corp Ltd   2,399 
 204,002   *  Resideo Technologies, Inc   2,244 
 155,737      Reunert Ltd   264 
 45,814      REV Group, Inc   361 
 879,163      Rexel S.A.   11,023 
 502,268      Rexnord Corp   14,988 
 121,000      Rexon Industrial Corp Ltd   347 
 51,087      Rheinmetall AG.   4,582 
 18,900   e  Rheon Automatic Machinery Co Ltd   204 
 58,430   e  Richelieu Hardware Ltd   1,543 
 3,012   e  Rieter Holding AG.   268 
 319,881      Rockwell Automation, Inc   70,591 
 9,550      Rockwool International AS (B Shares)   3,664 
31

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES       COMPANY  VALUE
(000)
 
 4,807,777   e  Rolls-Royce Group plc  $7,983 
 410,958      Roper Technologies Inc   162,374 
 1,501,608      Rotork plc   5,444 
 159,600      Run Long Construction Co Ltd   341 
 49,297      Rush Enterprises, Inc (Class A)   2,491 
 3,438   e  Rush Enterprises, Inc (Class B)   152 
 184,477   e  Russel Metals, Inc   2,517 
 28,957      Ryobi Ltd   325 
 89,305   e  Saab AB (Class B)   2,626 
 383,764      Sacyr Vallehermoso S.A.   682 
 303,023      Safran S.A.   29,814 
 13,794   e  Salcef S.p.A   196 
 79,469   *  Samsung Engineering Co Ltd   714 
 248,053   *  Samsung Heavy Industries Co Ltd   1,128 
 169,602   *  Samsung Techwin Co Ltd   3,672 
 97,623      San Shing Fastech Corp   151 
 2,291,760      Sandvik AB   44,816 
 131,100      Sanki Engineering Co Ltd   1,437 
 26,700      Sankyo Tateyama, Inc   250 
 206,841      Sanwa Shutter Corp   2,193 
 1,003,000      Sany Heavy Equipment International   593 
 497,900      Sany Heavy Industry Co Ltd   1,829 
 9,400      Sanyo Denki Co Ltd   432 
 162,770   *  Saudi Ceramic Co   1,905 
 33,327   e  Savaria Corp   370 
 7,386      Schaeffler India Ltd   355 
 46,376      Schindler Holding AG.   12,660 
 2,675      Schindler Holding AG. (Registered)   726 
 854,550      Schneider Electric S.A.   106,220 
 1,104      Schweiter Technologies AG.   1,539 
 2,099,521      Seazen Group Ltd   1,788 
 1,800   e  SEC Carbon Ltd   101 
 29,295      Sekisui Jushi Corp   616 
 1,137,678      SembCorp Industries Ltd   1,126 
 6,529,036   *  SembCorp Marine Ltd   706 
 13,288   *  Semperit AG. Holding   279 
 472,064      Senior plc   271 
 142,110   *  Sensata Technologies Holding plc   6,131 
 366,686      Service Stream Ltd   542 
 264,991   e  Seven Network Ltd   3,441 
 18,990      SFS Group AG.   1,910 
 69,327   *  SGL Carbon AG.   254 
 211,808   *  SGSB Group Co Ltd   80 
 255,400      Shanghai Construction Group Co Ltd   116 
 360,980      Shanghai Diesel Engine Co Ltd   156 
 416,600      Shanghai Electric Group Co Ltd   308 
 1,700,525      Shanghai Electric Group Co Ltd (Hong Kong)   460 
 242,548      Shanghai Highly Group Co Ltd   135 
 472,908      Shanghai Industrial Holdings Ltd   633 
 116,800      Shanghai Tunnel Engineering Co Ltd   97 
 180,510      Shapir Engineering and Industry Ltd   1,208 
 101,935      Shenzhen Inovance Technology Co Ltd   871 
 14,500      Shibuya Kogyo Co Ltd   502 
 256,151      Shikun & Binui Ltd   1,149 
32

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES       COMPANY  VALUE
(000)
 
 25,300      Shima Seiki Manufacturing Ltd  $400 
 383,982      Shimizu Corp   2,891 
 10,904   e  Shin Nippon Air Technologies Co Ltd   238 
 150,361      Shin Zu Shing Co Ltd   730 
 21,700      Shinko Electric Co Ltd   248 
 54,700      Shinmaywa Industries Ltd   472 
 53,748      Shinnihon Corp   469 
 44,308      SHO-BOND Holdings Co Ltd   2,211 
 2,355,469      Shun TAK Holdings Ltd   759 
 25,212      Shyft Group, Inc   476 
 60,400   *  Siasun Robot & Automation Co Ltd   129 
 1,460,036      Siemens AG.   184,386 
 458,821      Siemens Gamesa Renewable Energy   12,417 
 41,221      Siemens India Ltd   708 
 17,198   e  SIF Holding NV   302 
 614,160   g  Signify NV   22,716 
 1,350,713      Sime Darby BHD   811 
 96,479      Simpson Manufacturing Co, Inc   9,374 
 1,445,900      Singapore Technologies Engineering Ltd   3,685 
 51,751   e  Sinko Industries Ltd   722 
 989,096      Sino Thai Engineering & Construction PCL   354 
 985,000      Sinopec Engineering Group Co Ltd   364 
 658,829      Sinotruk Hong Kong Ltd   1,698 
 42,961      Sintokogio Ltd   289 
 60,815   *  SiteOne Landscape Supply, Inc   7,416 
 33,655      SK C&C Co Ltd   5,682 
 135,096      SK Networks Co Ltd   548 
 321,687      Skanska AB (B Shares)   6,794 
 243,848      SKF AB (B Shares)   5,031 
 677,142      SKP Resources BHD   302 
 237,517      SM Investments Corp   4,332 
 55,900   *  SMC Corp   31,183 
 52,660      Smiths Group plc   932 
 78,818      Snap-On, Inc   11,596 
 212,055   e  SNC-Lavalin Group, Inc   3,400 
 44,800   e  Sodick Co Ltd   317 
 1,422,813   e  Sojitz Holdings Corp   3,229 
 68,738      Spirax-Sarco Engineering plc   9,788 
 150,482      Spirit Aerosystems Holdings, Inc (Class A)   2,846 
 144,468   *  SPX Corp   6,700 
 67,784   *  SPX FLOW, Inc   2,903 
 43,539      Stabilus S.A.   2,549 
 50,395   e  Stadler Rail AG.   2,089 
 17,348   e  Standex International Corp   1,027 
 603,907   e  Stanley Black & Decker, Inc   97,954 
 37,966      Star Micronics Co Ltd   504 
 201,163   *  Sterling Construction Co, Inc   2,848 
 794,500      STP & I PCL   85 
 25,784      Sulzer AG.   2,072 
 1,028,005      Sumitomo Corp   12,392 
 18,097      Sumitomo Densetsu Co Ltd   425 
 612,495      Sumitomo Heavy Industries Ltd   14,250 
 666,617      Sumitomo Mitsui Construction Co Ltd   2,712 
 177,000      Sunonwealth Electric Machine Industry Co Ltd   382 
33

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES       COMPANY  VALUE
(000)
 
 148,272   *,e  Sunrun, Inc  $11,427 
 325,048      Sunway Construction Group BHD   145 
 24,300      Sunwoda Electronic Co Ltd   97 
 95,800      Suzhou Gold Mantis Construction Decoration Co Ltd   137 
 73,969      Sweco AB (B Shares)   4,098 
 22,148   e  Systemax, Inc   530 
 113,422      Tadano Ltd   929 
 61,413      Taeyoung Engineering & Construction Co Ltd   519 
 13,743      Taihei Dengyo Kaisha Ltd   308 
 48,053      Taikisha Ltd   1,333 
 132,793      Taisei Corp   4,495 
 861,670      Taiwan Glass Industrial Corp   363 
 17,639      Takamatsu Corp   386 
 30,864      Takara Standard Co Ltd   415 
 143,041      Takasago Thermal Engineering Co Ltd   2,054 
 40,300      Takeuchi Manufacturing Co Ltd   802 
 74,500      Takuma Co Ltd   1,276 
 76,355   *,g  Talgo S.A.   306 
 37,044      Tarkett S.A.   497 
 43,200      Tatsuta Electric Wire and Cable Co Ltd   252 
 199,000      TBEA Co Ltd   258 
 1,725,573      Techtronic Industries Co   22,943 
 1,707,000      Teco Electric and Machinery Co Ltd   1,763 
 18,399      Teikoku Sen-I Co Ltd   468 
 173,722      Tekfen Holding AS   330 
 13,000      Tekken Corp   260 
 126,090   *  Teledyne Technologies, Inc   39,114 
 15,143      Tennant Co   914 
 3,702,639   a  Terex Corp   71,683 
 83,495   *  Textainer Group Holdings Ltd   1,182 
 954,968      Textron, Inc   34,465 
 227,156      Thales S.A.   17,025 
 10,181   *,e  The ExOne Company   124 
 27,482      Thermax Ltd   268 
 56,729   *  Thermon Group Holdings   637 
 102,971      THK Co Ltd   2,591 
 1,722,478      Timken Co   93,393 
 17,311      Timken India Ltd   261 
 33,392   *  Titan Machinery, Inc   442 
 300,000      TK Group Holdings Ltd   100 
 44,669      TKH Group NV   1,630 
 45,300      Toa Corp/Tokyo   728 
 63,811      Tocalo Co Ltd   674 
 405,756      Toda Corp   2,785 
 8,815      Toenec Corp   301 
 106,200      Tokai Corp   1,049 
 89,802      Tokyu Construction Co Ltd   393 
 33,905      Toro Co   2,846 
 89,686   e  Toromont Industries Ltd   5,367 
 351,037      Toshiba Corp   8,955 
 21,836   *  Toshiba Machine Co Ltd   453 
 35,477      Totetsu Kogyo Co Ltd   958 
 116,686   e  Toto Ltd   5,377 
 313,803      Toyo Construction Co Ltd   1,228 
34

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES       COMPANY  VALUE
(000)
 
 12,700      Toyo Tanso Co Ltd  $214 
 160,864      Toyota Tsusho Corp   4,524 
 24,135   *  TPI Composites, Inc   699 
 402,480      Trakya Cam Sanayi AS   249 
 1,207,038      Trane Technologies plc   146,353 
 6,710   *,e  Transcat Inc   197 
 93,742      TransDigm Group, Inc   44,539 
 279,750      Travis Perkins plc   3,914 
 270,559      Trelleborg AB (B Shares)   4,778 
 171,844   *  Trex Co, Inc   12,304 
 79,253   *  Trimas Corp   1,807 
 12,968      Trinity Industries, Inc   253 
 81,957      Triton International Ltd   3,333 
 98,600   e  Triumph Group, Inc   642 
 44,435      Troax Group AB   836 
 48,210      Trusco Nakayama Corp   1,221 
 45,930      Tsubaki Nakashima Co Ltd   350 
 26,290      Tsubakimoto Chain Co   618 
 49,800   e  Tsugami Corp   585 
 25,700      Tsukishima Kikai Co Ltd   313 
 18,514      Tsurumi Manufacturing Co Ltd   321 
 75,610   *  Tutor Perini Corp   842 
 79,133      Ultra Electronics Holdings   2,127 
 7,883   *  Ultralife Corp   47 
 10,000      Union Tool Co   306 
 147,537      United Integrated Services Co Ltd   1,000 
 165,883   *  United Rentals, Inc   28,947 
 46,662   *  Univar Solutions Inc   788 
 62,188      Uponor Oyj   1,087 
 104,100      Ushio, Inc   1,325 
 302,564   e  Valmet Corp   7,463 
 30,935      Valmont Industries, Inc   3,842 
 20,274   *,e  Varta AG.   2,829 
 59,619   g  VAT Group AG.   11,373 
 55,988   *  Vectrus, Inc   2,128 
 121,569      Veidekke ASA   1,565 
 20,714   *,e  Veritiv Corp   262 
 316,133   *  Vertiv Holdings Co   5,475 
 65,382      Vestas Wind Systems AS   10,566 
 243,830      Vesuvius plc   1,243 
 92,317      V-Guard Industries Ltd   214 
 24,747   *  Vicor Corp   1,924 
 782,073      Vinci S.A.   65,347 
 88,267   *,e  Virgin Galactic Holdings, Inc   1,697 
 43,535   *,e  Vivint Solar, Inc   1,844 
 92,143      Voltas Ltd   853 
 122,172      Voltronic Power Technology Corp   4,150 
 216,518      Volvo AB (B Shares)   4,159 
 9,170      Vossloh AG.   362 
 583,977   g  VPower Group International Holdings Ltd   215 
 433,793      W.W. Grainger, Inc   154,764 
 81,027      Wabash National Corp   969 
 1,119,102      Wabtec Corp   69,250 
 35,506      Wacker Construction Equipment AG.   723 
35

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES       COMPANY  VALUE
(000)
 
 37,900      Wakita & Co Ltd  $380 
 2,562,472      Walsin Lihwa Corp   1,428 
 58,984   e  Wartsila Oyj (B Shares)   463 
 14,690      Washtec AG.   637 
 47,675      Watsco, Inc   11,103 
 86,578      Watts Water Technologies, Inc (Class A)   8,671 
 794,733      Weg S.A.   9,298 
 981,284      Weichai Power Co Ltd   1,986 
 200,300      Weichai Power Co Ltd (Class A)   446 
 292,675      Weir Group plc   4,711 
 181,894   *  Welbilt, Inc   1,120 
 79,815   *  WESCO International, Inc   3,513 
 2,279   *  Willis Lease Finance Corp   42 
 609,741   *  WillScot Mobile Mini Holdings Corp   10,170 
 48,971      Wilson Bayly Holmes-Ovcon Ltd   325 
 80,187      Woodward Inc   6,428 
 105,005   e  WSP Global, Inc   6,895 
 417,000      XCMG Construction Machinery Co Ltd   341 
 82,300      Xiamen C & D, Inc   104 
 201,400      Xinjiang Goldwind Science & Technology Co Ltd   304 
 941,944      Xinjiang Goldwind Science & Technology Co Ltd (Hong Kong)   829 
 117,112      Xxentria Technology Materials Corp   206 
 24,731      Xylem, Inc   2,080 
 27,772   e  Yahagi Construction Co Ltd   246 
 37,080      YAMABIKO Corp   454 
 38,800   e  Yamashin-Filter Corp   399 
 64,370      Yamazen Corp   652 
 2,390,300      Yangzijiang Shipbuilding   1,746 
 155,326   e  YIT Oyj   936 
 56,879      Yokogawa Bridge Holdings Corp   1,057 
 18,252      Yuasa Trading Co Ltd   570 
 116,000      Yungtay Engineering Co Ltd   222 
 40,600      Yurtec Corp   249 
 18,160      Yushin Precision Equipment Co Ltd   121 
 10,438   *,†  Yuyang DNU Co Ltd   11 
 213,549      Zardoya Otis S.A.   1,301 
 23,381      Zehnder Group AG.   1,131 
 120,700      Zhejiang Chint Electrics Co Ltd   538 
 19,720      Zhejiang Dingli Machinery Co Ltd   288 
 110,760      Zhejiang Sanhua Intelligent Controls Co Ltd   365 
 54,700      Zhejiang Weixing New Building Materials Co Ltd   129 
 194,600      Zhengzhou Coal Mining Machinery Group Co Ltd   211 
 32,400      Zhengzhou Yutong Bus Co Ltd   75 
 35,500      Zhongji Innolight Co Ltd   264 
 279,741      Zhuzhou CSR Times Electric Co Ltd   940 
 406,400      Zoomlion Heavy Industry Science and Technology Co Ltd   486 
 32,506      Zumtobel AG.   209 
        TOTAL CAPITAL GOODS   7,368,726 
              
COMMERCIAL & PROFESSIONAL SERVICES - 1.3%        
 13,400   *  51job, Inc (ADR)   1,045 
 157,350      ABM Industries, Inc   5,768 
36

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES       COMPANY  VALUE
(000)
 
 84,117   *  Acacia Research (Acacia Technologies)  $292 
 148,855      ACCO Brands Corp   863 
 144,762      Adecco S.A.   7,638 
 231,703      ADT, Inc   1,893 
 59,307   *  Advanced Disposal Services, Inc   1,793 
 24,520      Aeon Delight Co Ltd   680 
 108,648      AF AB   3,069 
 288,209      Aggreko plc   1,370 
 8,447   *  Akerna Corp   31 
 13,928   e  Akka Technologies S.A.   270 
 413,250   g  A-Living Services Co Ltd   2,114 
 535,920      ALS Ltd   3,578 
 42,230      Altech Corp   824 
 5,887      Amadeus Fire AG   730 
 278,475   *,e,g  API Group Corp   3,963 
 160,531      Applus Services S.A.   1,201 
 77,617   *  ASGN Inc   4,933 
 285,503      Babcock International Group   921 
 11,973      Barrett Business Services, Inc   628 
 56,279      BayCurrent Consulting, Inc   7,850 
 37,515   g  Befesa S.A.   1,505 
 190,000      Beijing Originwater Technology Co Ltd   244 
 37,400      Bell System24 Holdings, Inc   631 
 285,182      Benefit One, Inc   7,225 
 6,411      Bertrandt AG.   243 
 17,462   e  BG Staffing, Inc   148 
 338,694   g  Biffa plc   948 
 30,628      Bilfinger Berger AG.   559 
 406,163   e  Bingo Industries Ltd   709 
 48,923      Brady Corp (Class A)   1,958 
 1,420,028      Brambles Ltd   10,782 
 223,906   g  Bravida Holding AB   2,730 
 62,604   *  BrightView Holdings, Inc   714 
 128,332      Brink’s Co   5,273 
 26,044   e  Brunel International NV   197 
 266,571      Bureau Veritas S.A.   6,009 
 201,926   *  Calisen plc   431 
 1,797,106   *  Capita Group plc   707 
 80,364   *  Casella Waste Systems, Inc (Class A)   4,488 
 98,650   *,e  Casper Sleep, Inc   709 
 110,488   e  Caverion Corp   788 
 178,062   *  CBIZ, Inc   4,072 
 45,159   *,e  Ceco Environmental Corp   329 
 9,188      Central Security Patrols Co Ltd   311 
 20,300      Centre Testing International Group Co Ltd   73 
 10,832      Cewe Color Holding AG.   1,187 
 1,864,303      China Everbright International Ltd   1,066 
 168,477   *,e  Cimpress plc   12,663 
 115,678      Cintas Corp   38,501 
 1,258,702   *  Clarivate Analytics plc   39,007 
 74,336   *  Clean Harbors, Inc   4,165 
 78,000      Cleanaway Co Ltd   426 
 2,165,109      Cleanaway Waste Management Ltd   3,269 
 1,855      Compx International, Inc   28 
37

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES       COMPANY  VALUE
(000)
 
 108,650   g  Coor Service Management Holding AB  $739 
 304,470   *  Copart, Inc   32,018 
 94,066   *  CoStar Group, Inc   79,816 
 1,313,000      Country Garden Services Holdings Co Ltd   8,527 
 156,223      Covanta Holding Corp   1,211 
 31,467      CRA International, Inc   1,179 
 1,320,000   *,†  CT Environmental Group Ltd   2 
 356,095      Dai Nippon Printing Co Ltd   7,218 
 43,721      Daiseki Co Ltd   1,094 
 85,276      Deluxe Corp   2,194 
 108,195   e  Derichebourg   320 
 39,924      DKSH Holding AG.   2,781 
 777,370      Downer EDI Ltd   2,471 
 119,229   *  Dun & Bradstreet Holdings, Inc   3,059 
 44,498   e  Duskin Co Ltd   1,214 
 358,000      Dynagreen Environmental Protection Group Co Ltd   185 
 207,005      Elis S.A.   2,613 
 67,642   e  Emerald Holding, Inc   138 
 33,620      en-japan, Inc   851 
 43,164      Ennis, Inc   753 
 361,680      Equifax, Inc   56,748 
 594,000      Ever Sunshine Lifestyle Services Group Ltd   1,183 
 1,092,138      Experian Group Ltd   41,036 
 55,943      Exponent, Inc   4,030 
 22,411   e  Fila S.p.A   197 
 23,796   *  Forrester Research, Inc   780 
 61,514   *,e  Franklin Covey Co   1,091 
 568,100      Frontken Corp BHD   500 
 135,418   *  FTI Consulting, Inc   14,350 
 70,265      Fullcast Co Ltd   1,153 
 39,954      Funai Soken Holdings, Inc   945 
 10,275      GL Events   100 
 22,752   *  GP Strategies Corp   219 
 89,900   *  Grace Technology, Inc   4,527 
 1,396,000      Greentown Service Group Co Ltd   1,730 
 1,726,620      Group 4 Securicor plc   4,453 
 2,662      Groupe CRIT   158 
 1,869,668      Hays plc   2,713 
 240,797      Healthcare Services Group   5,184 
 34,261      Heidrick & Struggles International, Inc   673 
 23,806   *  Heritage-Crystal Clean, Inc   318 
 139,878      Herman Miller, Inc   4,219 
 65,655      HNI Corp   2,060 
 462,082      HomeServe plc   7,363 
 78,594   *  Huron Consulting Group, Inc   3,091 
 298,018   *,e  Hyve Group plc   248 
 202,902   *  IAA, Inc   10,565 
 56,869      ICF International, Inc   3,499 
 620,529      IHS Markit Ltd   48,718 
 12,003   e  Insource Co Ltd   344 
 70,976      Insperity, Inc   4,648 
 325,655      Interface, Inc   1,993 
 210,327      Intertek Group plc   17,162 
 99,511   g  Intertrust NV   1,694 
38

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES       COMPANY  VALUE
(000)
 
 815,126   e  Intrum Justitia AB  $19,976 
 233,782      IPH Ltd   1,211 
 111,144      IR Japan Holdings Ltd   14,086 
 175,849      ISS AS   2,315 
 16,600      JAC Recruitment Co Ltd   208 
 606,800      Japan Elevator Service Holdings Co Ltd   21,165 
 330,500      JMT Network Services PCL   335 
 29,200      JOYY, Inc (ADR)   2,356 
 9,800   *,e  JTOWER, Inc   517 
 390,103      KAR Auction Services, Inc   5,618 
 30,000      KD Holding Corp   220 
 52,522   e  Kelly Services, Inc (Class A)   895 
 67,792      KEPCO Plant Service & Engineering Co Ltd   1,569 
 117,224      Kforce, Inc   3,771 
 152,988      Kimball International, Inc (Class B)   1,613 
 80,201      Knoll, Inc   967 
 17,594      Koentec Co Ltd   129 
 94,408      Kokuyo Co Ltd   1,190 
 84,974      Korn/Ferry International   2,464 
 22,869   g  L&T Technology Services Ltd   502 
 251,320   g  Laurus Labs Ltd   982 
 38,389   e  Link And Motivation, Inc   145 
 84,592      Loomis AB   2,314 
 17,152      Maharah Human Resources Co   368 
 113,869      Manpower, Inc   8,350 
 26,484   *,e  Mastech Holdings, Inc   477 
 14,962   e  Matsuda Sangyo Co Ltd   220 
 97,915      Matthews International Corp (Class A)   2,189 
 83,023      McGrath RentCorp   4,947 
 74,378      McMillan Shakespeare Ltd   441 
 28,428      Meitec Corp   1,450 
 361,907      Michael Page International plc   1,745 
 53,212   *  Mistras Group, Inc   208 
 1,127,174      Mitie Group   477 
 40,244      Mitsubishi Pencil Co Ltd   525 
 11,683   *  Montrose Environmental Group, Inc   278 
 74,764   e  Morneau Sobeco Income Fund   1,561 
 43,237      Moshi Moshi Hotline, Inc   546 
 54,006      MSA Safety, Inc   7,246 
 30,356      NICE Information Service Co Ltd   511 
 10,404      Nichiban Co Ltd   163 
 58,114      Nielsen NV   824 
 223,835      Nihon M&A Center, Inc   12,805 
 23,300      Nippon Kanzai Co Ltd   441 
 218,111      Nippon Parking Development Co Ltd   272 
 6,676   e  NL Industries, Inc   28 
 222,248      Nomura Co Ltd   1,654 
 63,428   e  Okamura Corp   448 
 283,395      Omni Bridgeway Ltd   803 
 126,509      Outsourcing, Inc   1,174 
 20,402      Oyo Corp   242 
 96,770      Park24 Co Ltd   1,571 
 23,800      Pasona Group, Inc   363 
 32,142      Pilot Corp   945 
39

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES       COMPANY  VALUE
(000)
 
 235,386      Pitney Bowes, Inc  $1,250 
 312,618   *,e  Precigen, Inc   1,094 
 103,427      Prestige International, Inc   939 
 513,742   g  Prosegur Cash S.A.   420 
 272,331      Prosegur Cia de Seguridad S.A.   653 
 59,830      Quad Graphics, Inc   181 
 61,452   *,g  Quess Corp Ltd   345 
 380,503   *  Raksul, Inc   15,515 
 111,042      Randstad Holdings NV   5,790 
 3,058,721      Recruit Holdings Co Ltd   121,478 
 5,637   *,e  Red Violet, Inc   104 
 1,935,456      RELX plc   43,088 
 766,679      RELX plc (London)   17,065 
 38,900   *  Renrui Human Resources Technology Holdings Ltd   104 
 1,929,690      Rentokil Initial plc   13,338 
 304,566      Republic Services, Inc   28,431 
 51,419      Resources Connection, Inc   594 
 119,656      Restore plc   495 
 169,987      Ritchie Bros Auctioneers, Inc   10,081 
 162,437   e  Robert Half International, Inc   8,599 
 214,469      Rollins, Inc   11,622 
 197,298   e  RWS Holdings plc   1,436 
 16,143      S1 Corp (Korea)   1,210 
 27,852      Sato Corp   595 
 230,539      Secom Co Ltd   21,098 
 562,647      Securitas AB (B Shares)   8,601 
 309,874      Seek Ltd   4,780 
 1,360,795      Serco Group plc   2,228 
 122,207      SG Fleet Group Ltd   135 
 5,723      SGS S.A.   15,337 
 30,200      Shanghai M&G Stationery, Inc   302 
 100,500   *,†  Shanghai Youngsun Investment Co Ltd   84 
 166,400      Shenzhen Dongjiang Environmental Co Ltd   112 
 133,354      SmartGroup Corp Ltd   551 
 291,587      SMS Co Ltd   8,467 
 27,598   e  Societe BIC S.A.   1,447 
 52,890      Sohgo Security Services Co Ltd   2,520 
 78,628   *  SP Plus Corp   1,411 
 132,351      SPIE S.A.   2,372 
 66,732      S-Pool, Inc   535 
 59,743      Sporton International, Inc   504 
 121,622      Stantec, Inc   3,693 
 155,200      Steelcase, Inc (Class A)   1,569 
 272,263   *  Stericycle, Inc   17,169 
 58,000      Sunny Friend Environmental Technology Co Ltd   462 
 6,723      Synergie S.A   190 
 231,660      Taiwan Secom Co Ltd   675 
 254,340      Taiwan-Sogo Shinkong Security Corp   319 
 41,000      Tanseisha Co Ltd   277 
 61,957   *  Team, Inc   341 
 8,844   *  TeamLease Services Ltd   264 
 148,418      TechnoPro Holdings, Inc   9,293 
 141,553      Teleperformance   43,641 
 136,024      Temp Holdings Co Ltd   2,222 
40

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES       COMPANY  VALUE
(000)
 
 59,948      Tetra Tech, Inc  $5,725 
 161,562      Thomson Reuters Corp   12,893 
 475,000      Times Neighborhood Holdings Ltd   634 
 25,912      Tinexta S.p.A   504 
 123,301      Tomra Systems ASA   5,341 
 52,206      Toppan Forms Co Ltd   497 
 204,750      Toppan Printing Co Ltd   2,894 
 160,832      Transcontinental, Inc   1,986 
 357,740      TransUnion   30,097 
 52,803   *  TriNet Group, Inc   3,132 
 54,523   *  TrueBlue, Inc   845 
 24,362      Trust Tech, Inc   264 
 8,700      Uchida Yoko Co Ltd   433 
 24,348      Unifirst Corp   4,611 
 29,499   e  United Technology Holdings Co Ltd   1,007 
 50,215      US Ecology, Inc   1,641 
 240,890      Verisk Analytics, Inc   44,639 
 34,478      Viad Corp   718 
 144,396   *,e  Vivint Smart Home, Inc   2,466 
 14,190   e  VSE Corp   435 
 470,039      Waste Connections, Inc   48,790 
 1,000,405      Waste Management, Inc   113,216 
 10,200      WDB Holdings Co Ltd   299 
 6,900      Weathernews, Inc   393 
 12,384   *,e  Willdan Group, Inc   316 
 183,547      Wolters Kluwer NV   15,657 
 8,700      World Holdings Co Ltd   173 
 12,500      YAMADA Consulting Group Co Ltd   144 
 49,500   e  Yumeshin Holdings Co Ltd   326 
        TOTAL COMMERCIAL & PROFESSIONAL SERVICES   1,472,546 
              
CONSUMER DURABLES & APPAREL - 2.2%        
 700,000      361 Degrees International Ltd   90 
 21,130      Accell Group   586 
 47,682      Acushnet Holdings Corp   1,603 
 271,417      Adidas-Salomon AG.   87,652 
 145,696      Aksa Akrilik Kimya Sanayii   134 
 9,848      Amber Enterprises India Ltd   273 
 72,368   *,e  American Outdoor Brands, Inc   943 
 664,157   *  AmTRAN Technology Co Ltd   228 
 1,041,335      Anta Sports Products Ltd   10,868 
 4,060,000   *,e  Apollo Future Mobility Group Ltd   223 
 40,369      Arezzo Industria e Comercio S.A.   391 
 92,574   *  Aritzia, Inc   1,212 
 169,573      Asics Corp   2,371 
 92,338      Bafang Electric Suzhou Co Ltd   2,159 
 26,477      Bajaj Electricals Ltd   181 
 727,041      Barratt Developments plc   4,459 
 29,341      Bata India Ltd   526 
 54,425   *  Beazer Homes USA, Inc   718 
 180,839      Bellway plc   5,481 
 42,179   e  Beneteau S.A.   340 
 16,708      Berkeley Group Holdings plc   911 
 270,600      Betsson AB   2,074 
41

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES       COMPANY  VALUE
(000)
 
 92,953   e  Bonava AB  $772 
 1,582,000      Bosideng International Holdings Ltd   494 
 251,465      Bovis Homes Group plc   1,843 
 108,798      Breville Group Ltd   1,974 
 45,299      BRP, Inc (Toronto)   2,393 
 38,212   e  Brunello Cucinelli S.p.A   1,165 
 301,042      Brunswick Corp   17,734 
 135,604      Burberry Group plc   2,718 
 6,327,683      Cairn Homes plc   5,864 
 5,552,409      Cairn Homes plc (London)   5,062 
 152,469      Callaway Golf Co   2,918 
 64,188   *,e  Canada Goose Holdings, Inc   2,062 
 1,271,706   *  Capri Holdings Ltd   22,891 
 16,426      Carter’s, Inc   1,422 
 136,616   *,e  Casio Computer Co Ltd   2,212 
 17,114   *  Cavco Industries, Inc   3,086 
 35,629      CCC S.A.   437 
 47,915   *  Century Communities, Inc   2,028 
 18,725   e  Chargeurs S.A.   367 
 2,884,400   e  China Dongxiang Group Co   359 
 376,698      China Lilang Ltd   207 
 20,300      Chofu Seisakusho Co Ltd   425 
 384,357      Chow Sang Sang Holding   414 
 131,151      Cia Hering   391 
 640,022      Cie Financiere Richemont S.A.   42,973 
 1,506,000   *  Citychamp Watch & Jewellery Group Ltd   305 
 40,749      Clarus Corp   575 
 1,559,078      Coats Group plc   1,122 
 5,327      Columbia Sportswear Co   463 
 68,997      Construtora Tenda S.A.   349 
 12,636      Corona Corp   119 
 704,000   e,g  Cosmo Lady China Holdings Co Ltd   67 
 911,890   g  Countryside Properties plc   3,955 
 25,654      COWELL FASHION Co Ltd   135 
 275,782      Crest Nicholson Holdings plc   703 
 226,450   *  CROCS, Inc   9,676 
 443,796      Crompton Greaves Consumer Electricals Ltd   1,761 
 656,375   g  Crystal International Group Ltd   172 
 1,268      Cuckoo Electronics Co Ltd   107 
 286,117      Cyrela Brazil Realty S.A.   1,184 
 40,532   *  Deckers Outdoor Corp   8,917 
 119,063      De’Longhi S.p.A.   4,071 
 10,188      Delta-Galil Industries Ltd   164 
 34,602      Descente Ltd   565 
 2,586      Dixon Technologies India Ltd   308 
 972,374      DR Horton, Inc   73,541 
 37,463   *  Duni AB   377 
 92,950      Eclat Textile Co Ltd   1,162 
 206,877      Electrolux AB (Series B)   4,822 
 255,052   *  Electrolux Professional AB   1,021 
 15,786   e  Escalade, Inc   289 
 139,357      ES-Con Japan Ltd   1,156 
 720,682      Essilor International S.A.   98,111 
 42,996      Ethan Allen Interiors, Inc   582 
42

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES       COMPANY  VALUE
(000)
 
 95,767      Even Construtora e Incorporadora S.A.  $190 
 93,898      Ez Tec Empreendimentos e Participacoes S.A.   589 
 6,290      F&F Co Ltd   478 
 189,124      Feng TAY Enterprise Co Ltd   1,142 
 24,568      Fila Korea Ltd   768 
 1,229      Forbo Holding AG.   2,017 
 366,052      Formosa Taffeta Co Ltd   397 
 81,381      Forus S.A.   95 
 76,452   *  Fossil Group, Inc   439 
 21,850      Foster Electric Co Ltd   235 
 25,908      France Bed Holdings Co Ltd   218 
 339,999   *,†,e  Fuguiniao Co Ltd    0^
 10,500      Fujibo Holdings Inc   366 
 66,021      Fujitsu General Ltd   1,921 
 106,032      Fulgent Sun International Holding Co Ltd   401 
 79,568      Fusheng Precision Co Ltd   485 
 60,097      Games Workshop Group plc   7,885 
 129,313   *  Garmin Ltd   12,267 
 74,394   *,e  Genasys, Inc   458 
 37,792   *  GeneOne Life Science, Inc   958 
 283,639      Giant Manufacturing Co Ltd   2,688 
 71,806   *,e  G-III Apparel Group Ltd   941 
 184,543      Gildan Activewear, Inc   3,637 
 3,287,476   *,g  Glenveagh Properties plc   2,690 
 2,700,000   *,e,g  Glenveagh Properties plc (London)   2,155 
 62,047   e  Goldwin, Inc   4,932 
 108,091   *  GoPro, Inc   490 
 1,794,090      Gree Electric Appliances, Inc of Zhuhai   14,126 
 162,459   *  Green Brick Partners, Inc   2,616 
 288,031      Grendene S.A.   393 
 90,210      Guararapes Confeccoes S.A.   224 
 16,318      Gunze Ltd   610 
 2,168,944      Haier Electronics Group Co Ltd   7,885 
 10,427   e  Hamilton Beach Brands Holding Co   203 
 12,812      Handsome Co Ltd   330 
 141,413      Hanesbrands, Inc   2,227 
 319,109      Hangzhou Robam Appliances Co Ltd   1,540 
 16,158      Hansae Co Ltd   249 
 80,360      Hanssem Co Ltd   7,345 
 26,314      Hanwha Systems Co Ltd   256 
 207,162      Hasbro, Inc   17,136 
 792,472      Haseko Corp   10,438 
 61,789      Heiwa Corp   1,016 
 27,123   *  Helen of Troy Ltd   5,249 
 24,654   *,†  Hellenic Duty Free Shops S.A.    0^
 20,614      Hermes International   17,754 
 6,160      Hitachi Home & Life Solutions India Ltd   186 
 42,560   *  HLB, Inc   3,752 
 19,753   e  Hooker Furniture Corp   510 
 466,000   *,†  HOSA International Ltd   1 
 35,820      HS Industries Co Ltd   254 
 65,755      Hugo Boss AG.   1,644 
 766,827      Husqvarna AB (B Shares)   8,432 
 16,527      Hwaseung Enterprise Co Ltd   197 
43

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES       COMPANY  VALUE
(000)
 
 5,444      Hyosung TNC Co Ltd  $597 
 81,118      IG Design Group plc   444 
 304,121      Iida Group Holdings Co Ltd   6,155 
 90,577   *  Installed Building Products, Inc   9,216 
 29,962   *,e  iRobot Corp   2,274 
 49,310      Japan Wool Textile Co Ltd   477 
 63,937      JM AB   1,981 
 144,994      JNBY Design Ltd   141 
 81,000      Johnson Health Tech Co Ltd   187 
 24,247      Johnson Outdoors, Inc   1,986 
 38,800      Joyoung Co Ltd   231 
 183,600      JVC KENWOOD Holdings, Inc   256 
 19,107      Kaufman & Broad S.A.   759 
 130,850      KB Home   5,023 
 1,073,244      Kinpo Electronics   392 
 51,956      KMC Kuei Meng International In   342 
 434,200      Konka Group Co Ltd   127 
 83,563      Kontoor Brands, Inc   2,022 
 15,849      KPR Mill Ltd   140 
 14,500      Kurabo Industries Ltd   266 
 13,626   *,e  Lakeland Industries, Inc   270 
 70,377      La-Z-Boy, Inc   2,226 
 520,776      Lealea Enterprise Co Ltd   217 
 72,700      LEC, Inc   1,164 
 6,851   *,e  Legacy Housing Corp   94 
 175,207   e  Leggett & Platt, Inc   7,213 
 351,293      Lennar Corp (Class A)   28,694 
 21,124      Lennar Corp (Class B)   1,387 
 158,467   e  Levi Strauss & Co   2,123 
 53,874      LG Electronics, Inc   4,220 
 17,139      LG Fashion Corp   196 
 18,712   *  LGI Homes, Inc   2,174 
 1,913,000      Li Ning Co Ltd   9,001 
 7,312   e  Lifetime Brands, Inc   69 
 8,496   *,e  Lovesac Co   235 
 601      LPP S.A.   1,021 
 319,829   *  Lululemon Athletica, Inc   105,342 
 164,678      Luthai Textile Co Ltd   85 
 334,312      LVMH Moet Hennessy Louis Vuitton S.A.   156,425 
 49,042   *  M/I Homes, Inc   2,258 
 192,271      Makalot Industrial Co Ltd   1,142 
 93,285   *  Malibu Boats, Inc   4,623 
 1,706,184      Man Wah Holdings Ltd   2,285 
 6,442   *,†  Mariella Burani S.p.A.    0 
 6,601   e  Marine Products Corp   103 
 14,226      Mars Engineering Corp   240 
 15,186   *  MasterCraft Boat Holdings, Inc   266 
 1,675,042   *  Mattel, Inc   19,598 
 36,858   *,g  Mavi Giyim Sanayi Ve Ticaret AS.   184 
 95,913      Maytronics Ltd   1,475 
 605,581   g  McCarthy & Stone plc   544 
 84,357      MDC Holdings, Inc   3,973 
 201,000      Merida Industry Co Ltd   1,629 
 60,201   *  Meritage Homes Corp   6,646 
44

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES       COMPANY  VALUE
(000)
 
 217      Metall Zug AG.(B Shares)  $309 
 266,296      MIPS AB   11,860 
 19,400      Mizuno Corp   351 
 76,826   *  Mohawk Industries, Inc   7,497 
 918,074      Moncler S.p.A   37,569 
 26,521      Movado Group, Inc   264 
 300,114      MRV Engenharia e Participacoes S.A.   860 
 6,868      Nacco Industries, Inc (Class A)   125 
 167,230      Namco Bandai Holdings, Inc   12,253 
 38,000      Nan Liu Enterprise Co Ltd   308 
 201,962   *,e  Nautilus, Inc   3,466 
 32,700      NavInfo Co Ltd   71 
 62,740   *,g  Neinor Homes S.A.   802 
 2,314,065      Newell Brands Inc   39,709 
 77,000      Nien Made Enterprise Co Ltd   920 
 3,256,317      Nike, Inc (Class B)   408,798 
 211,565   e  Nikon Corp   1,428 
 125,836      Nobia AB   841 
 20,701   *  NVR, Inc   84,525 
 106,331      Onward Kashiyama Co Ltd   275 
 14,700      Oppein Home Group, Inc   233 
 45,627      Orient Electric Ltd   113 
 265,302      Oriental Weavers   99 
 26,212      Oxford Industries, Inc   1,058 
 1,060,778      Pacific Textile Holdings Ltd   495 
 3,039      Page Industries Ltd   880 
 104,456      Paiho Shih Holdings Corp   102 
 2,367,713      Panasonic Corp   20,168 
 13,291      Pandora AS   959 
 402,000   *,†  Peace Mark Holdings Ltd    0 
 239,341   *  Peloton Interactive, Inc   23,752 
 163,752      Persimmon plc   5,218 
 176,933   *  Peter England Fashions and Retail Ltd   321 
 20,656      PIK Group (GDR)   151 
 102,674      Polaris Inc   9,686 
 1,201,041      Pou Chen Corp   1,091 
 14,411,192   e  Prada S.p.A   56,702 
 141,323      Pressance Corp   1,877 
 547,863      Pulte Homes, Inc   25,361 
 211,807      Puma AG. Rudolf Dassler Sport   19,040 
 135,610   *  Purple Innovation, Inc   3,371 
 58,888      PVH Corp   3,512 
 372,000   e  Q Technology Group Co Ltd   419 
 196,100      Qingdao Haier Co Ltd   632 
 285,000      Quang Viet Enterprise Co Ltd   1,103 
 100,205      Rajesh Exports Ltd   608 
 7,085      Ralph Lauren Corp   482 
 315,758      Redrow plc   1,643 
 46,153      Relaxo Footwears Ltd   418 
 68,470      Rinnai Corp   6,679 
 11,340      Rocky Brands, Inc   282 
 391,000   *  Roo Hsing Co Ltd   167 
 308,000      Ruentex Industries Ltd   691 
 56,919   e  Salvatore Ferragamo Italia S.p.A   838 
45

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES       COMPANY  VALUE
(000)
 
 1,561,800   e,g  Samsonite International  $1,586 
 52,124      Sangetsu Co Ltd   804 
 52,200      Sankyo Co Ltd   1,367 
 15,612   *  Sanlorenzo S.p.A   311 
 21,107      SEB S.A.   3,433 
 161,682      Sega Sammy Holdings, Inc   1,971 
 27,900   e  Seiko Holdings Corp   377 
 47,393      Seiren Co Ltd   698 
 250,367      Sekisui Chemical Co Ltd   4,005 
 696,225      Sekisui House Ltd   12,338 
 149,794      Sharp Corp   1,863 
 904,924      Shenzhou International Group Holdings Ltd   15,410 
 64,453      Shimano, Inc   12,723 
 8,114      Sioen Industries NV   179 
 23,871   *  Skechers U.S.A., Inc (Class A)   721 
 163,707   *  Skyline Champion Corp   4,382 
 1,257,900   *  Skyworth Digital Holdings Ltd   363 
 84,523      Smith & Wesson Brands, Inc   1,312 
 488,096   *  Sonos, Inc   7,409 
 3,170,679      Sony Corp   243,007 
 615,798   *,g  Spin Master Corp   13,291 
 67,700      Starts Corp, Inc   1,487 
 3,660,059   *,e  Steinhoff International Holdings NV   153 
 493,500      Stella International Holdings Ltd   485 
 212,510      Steven Madden Ltd   4,144 
 45,311      Sturm Ruger & Co, Inc   2,771 
 400,697      Sumitomo Forestry Co Ltd   6,395 
 30,900      Suofeiya Home Collection Co Ltd   120 
 17,099      Superior Uniform Group, Inc   397 
 11,911      Swatch Group AG.   2,776 
 2,134      Swatch Group AG. (Registered)   96 
 13,133      Symphony Ltd   169 
 958,602      Tainan Spinning Co Ltd   381 
 639,600      Taiwan Paiho Ltd   1,504 
 14,700   e  Tama Home Co Ltd   194 
 56,500      Tamron Co Ltd   895 
 139,803      Tapestry, Inc   2,185 
 312,773   *  Taylor Morrison Home Corp   7,691 
 3,396,069      Taylor Wimpey plc   4,749 
 536,900      TCL Corp   488 
 1,944,973      TCL Multimedia Technology Holdings Ltd   1,507 
 15,601   *,g  TCNS Clothing Co Ltd   84 
 1   *  Technicolor S.A.    0^
 205,729   g  Technogym S.p.A   1,759 
 267,038   *  Tempur Sealy International, Inc   23,817 
 233,000      Texhong Textile Group Ltd   168 
 115,016   g  Thule Group AB   3,795 
 292,028      Titan Industries Ltd   4,767 
 16,639   e  Tod’s S.p.A.   485 
 8,290      Token Corp   613 
 153,055      Toll Brothers, Inc   7,448 
 70,046      TomTom NV   525 
 97,301      Tomy Co Ltd   839 
 89,986   *  TopBuild Corp   15,360 
46

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES       COMPANY  VALUE
(000)
 
 392,348   *  TRI Pointe Homes, Inc  $7,117 
 75,653      Trisul S.A.   145 
 59,164      TSI Holdings Co Ltd   183 
 2,841      TTK Prestige Ltd   236 
 81,888      Tupperware Brands Corp   1,651 
 76,084   *,e  Turtle Beach Corp   1,385 
 32,994   *  Under Armour, Inc (Class A)   371 
 2,061,668   *,e  Under Armour, Inc (Class C)   20,287 
 25,912   *  Unifi, Inc   333 
 35,952   *  Universal Electronics, Inc   1,357 
 27,143      Universal Entertainment Corp   496 
 4,921      VAN DE Velde   132 
 11,649      Vardhman Textiles Ltd   127 
 50,370   *  Vera Bradley, Inc   308 
 65,237   *  Vestel Elektronik Sanayi   146 
 388,817      VF Corp   27,314 
 119,263   *,e  Victoria plc   460 
 31,542      VIP Industries Ltd   124 
 151,039   *  Vista Outdoor, Inc   3,048 
 87,096      Vivara Participacoes S.A.   368 
 28,625   *,e  VOXX International Corp (Class A)   220 
 2,584   *  V-ZUG Holding AG.   211 
 46,213      Wacoal Holdings Corp   874 
 347,500      Weiqiao Textile Co   79 
 284,354      Welspun India Ltd   259 
 963,564   e  Whirlpool Corp   177,190 
 7,321      Winix, Inc   122 
 127,307      Wolverine World Wide, Inc   3,290 
 23,378      Woongjin Coway Co Ltd   1,590 
 23,400      Xiamen Intretech, Inc   201 
 1,105,383      XTEP International Holdings   329 
 128,696      Yamaha Corp   6,172 
 367,215   *  YETI Holdings, Inc   16,642 
 14,400      Yondoshi Holdings, Inc   241 
 58,100   e  Yonex Co Ltd   349 
 20,124      Youngone Corp   477 
 4,971      Youngone Holdings Co Ltd   157 
 930,000      Yue Yuen Industrial Holdings   1,507 
 38,700      Zhejiang Semir Garment Co Ltd   46 
 15,000      Zhejiang Supor Co Ltd   174 
 8,252      Zinus, Inc   580 
 36,700      Zojirushi Corp   609 
        TOTAL CONSUMER DURABLES & APPAREL   2,518,052 
              
CONSUMER SERVICES - 2.0%        
 428,316      888 Holdings plc   1,388 
 96,239   g  AcadeMedia AB   794 
 31,830   *,e  Accel Entertainment, Inc   341 
 369,707      Accor S.A.   10,348 
 150,041   *  Adtalem Global Education, Inc   3,682 
 8,072      Aeon Fantasy Co Ltd   126 
 924,499   *  Afya Ltd   25,183 
 1,757,138   *,e  Alsea SAB de C.V.   1,675 
 5,669   *  Altus San Nicolas Corp   1 
47

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES       COMPANY  VALUE
(000)
 
 42,484   *  American Public Education, Inc  $1,198 
 72,006   *  AmRest Holdings SE   328 
 377,642      ARAMARK Holdings Corp   9,989 
 17,060   e  ARCLAND SERVICE Co Ltd   343 
 230,503   *  Arco Platform Ltd   9,414 
 8,428,066   a,e  Arcos Dorados Holdings, Inc   34,555 
 540,272      Aristocrat Leisure Ltd   11,783 
 16,392   *,e  Aspen Group, Inc   183 
 6,774,106      Asset World Corp PCL   753 
 105,300   e  Atom Corp   864 
 135,717      Autogrill S.p.A.   613 
 43,158   *,g  Basic-Fit NV   1,028 
 55,934      Benesse Holdings, Inc   1,440 
 688,761      Berjaya Sports Toto BHD   340 
 4,141      bet-at-home.com AG.   172 
 64   *,e  Biglari Holdings, Inc (A Shares)   31 
 7,775   *  Biglari Holdings, Inc (B Shares)   692 
 34,087      BJ’s Restaurants, Inc   1,004 
 157,578      BK Brasil Operacao e Assessoria a Restaurantes S.A.   301 
 3,434,100      Bloomberry Resorts Corp   522 
 144,661      Bloomin’ Brands, Inc   2,209 
 8,639   e  Bluegreen Vacations Corp   42 
 214,640      Boyd Gaming Corp   6,587 
 88,841   *  Bright Horizons Family Solutions   13,507 
 18,627   e  Bright Scholar Education Holdings Ltd (ADR)   119 
 295,958      Brinker International, Inc   12,643 
 10,300   e  BRONCO BILLY Co Ltd   235 
 4,100      BTG Hotels Group Co Ltd   11 
 451,468   *,e  Caesars Entertainment, Inc   25,309 
 378,000      Cafe de Coral Holdings Ltd   799 
 284,679      Cairo Investment & Real Estate Development Co SAE   235 
 212,111   *  Cairo Mezz plc   18 
 1,653,635   e  Carnival Corp   25,102 
 173,705      Carnival plc   2,210 
 84,975      Carriage Services, Inc   1,896 
 127,324   *  Carrols Restaurant Group, Inc   821 
 437,468      Central Plaza Hotel PCL   312 
 77,423   *,e  Century Casinos, Inc   424 
 67,200   e  Cheesecake Factory   1,864 
 194,929   *,e  Chegg, Inc   13,926 
 337,271      China Beststudy Education Group   141 
 273,000   g  China East Education Holdings Ltd   595 
 367,000      China Education Group Holdings Ltd   675 
 107,300      China International Travel Service Corp Ltd   3,525 
 582,000      China Kepei Education Group Ltd   453 
 1,338,000   e  China Maple Leaf Educational Systems Ltd   403 
 719,000   g  China New Higher Education Group Ltd   465 
 1,950,000      China Travel International Inv HK   276 
 460,000   g  China Xinhua Education Group Ltd   164 
 1,204,000   g  China Yuhua Education Corp Ltd   1,033 
 116,280   *  Chipotle Mexican Grill, Inc (Class A)   144,619 
 47,785      Choice Hotels International, Inc   4,108 
 78,428      Churchill Downs, Inc   12,848 
 72,533   *,e  Chuy’s Holdings, Inc   1,420 
48

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES       COMPANY  VALUE
(000)
 
 11,606      Cie des Alpes  $229 
 1,689,945      Cogna Educacao   1,559 
 15,450   e  Collectors Universe   765 
 118,961      Collins Foods Ltd   885 
 65,000   e  Colowide Co Ltd   1,105 
 1,861,220      Compass Group plc   27,959 
 99,089      Corporate Travel Management Ltd   1,246 
 36,784      Cracker Barrel Old Country Store, Inc   4,218 
 103,100   e  Create Restaurants Holdings, Inc   592 
 344,142      Crown Resorts Ltd   2,186 
 153,266      CVC Brasil Operadora e Agencia de Viagens S.A.   440 
 195,429      Dadi Early-Childhood Education Group Ltd   1,217 
 21,543      Daekyo Co Ltd   72 
 140,000      Dahan Development Corp   260 
 10,000   *,e  Daisyo Corp   119 
 223,546      Dalata Hotel Group plc   648 
 197,496      Darden Restaurants, Inc   19,896 
 58,886   e  Dave & Buster’s Entertainment, Inc   893 
 173,027   *  Del Taco Restaurants, Inc   1,419 
 145,281   *  Denny’s Corp   1,453 
 38,439      Dine Brands Global Inc.   2,098 
 7,723   e  DO & CO AG.   316 
 67,193      Domino’s Pizza Enterprises Ltd   3,842 
 492,695      Domino’s Pizza Group plc   2,319 
 24,902      Domino’s Pizza, Inc   10,590 
 8,326      DoubleUGames Co Ltd   529 
 32,318      Doutor Nichires Holdings Co Ltd   491 
 3,034,543   *  Dubai Parks & Resorts PJSC   111 
 64,757      Dunkin Brands Group, Inc   5,304 
 58,584      Dur Hospitality Co   486 
 122,399      EIH Ltd   134 
 26,298   *,e  El Pollo Loco Holdings, Inc   426 
 217,764   e,g  Elior Participations S.C.A   1,011 
 46,881   *  Emerson Pacific, Inc   375 
 350,791   *,e  Everi Holdings, Inc   2,894 
 157,375   e,g  Evolution Gaming Group AB   10,398 
 227,688      Extended Stay America, Inc   2,721 
 83,500      Fairwood Holdings Ltd   196 
 19,626      Fattal Holdings 1998 Ltd   1,098 
 29,998   *  Fiesta Restaurant Group, Inc   281 
 157,215      Flight Centre Travel Group Ltd   1,580 
 355,709   *  Flutter Entertainment plc   56,032 
 45,990      Formosa International Hotels Corp   212 
 42,553   e  Franchise Group, Inc   1,079 
 158,541   *  frontdoor, Inc   6,169 
 868,000      Fu Shou Yuan International Group Ltd   848 
 23,399   e  Fuji Kyuko Co Ltd   872 
 18,000   e  Fujio Food System Co Ltd   243 
 942,863      G8 Education Ltd   658 
 69,583      GAEC Educacao S.A.   323 
 6,849,043      Galaxy Entertainment Group Ltd   46,304 
 21,026   *,e  GAN Ltd   355 
 1,105,467      Genting BHD   848 
 1,903,778      Genting Singapore Ltd   940 
49

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES       COMPANY  VALUE
(000)
 
 33,287   *  Golden Entertainment, Inc  $460 
 80,739      Gourmet Master Co Ltd   287 
 6,051      Graham Holdings Co   2,445 
 61,777   *  Grand Canyon Education, Inc   4,938 
 28,376      Grand Korea Leisure Co Ltd   300 
 57,431   *  Great Canadian Gaming Corp   1,040 
 13,128   e  GreenTree Hospitality Group Ltd   178 
 113,460      Greggs plc   1,719 
 73,219   *,e  GSX Techedu, Inc (ADR)   6,598 
 543,168      GVC Holdings plc   6,803 
 363,679      H&R Block, Inc   5,924 
 1,060,000   *,g  Haichang Holdings Ltd   71 
 2,004,000   e,g  Haidilao International Holding Ltd   14,520 
 8,563      Hana Tour Service, Inc   287 
 23,376      Herfy Food Services Co   335 
 26,437   e  Hiday Hidaka Corp   481 
 249,464   *  Hilton Grand Vacations, Inc   5,234 
 858,794      Hilton Worldwide Holdings, Inc   73,272 
 36,628   e  HIS Co Ltd   647 
 476,500      Hongkong & Shanghai Hotels   370 
 1,856,000   g  Hope Education Group Co Ltd   571 
 273,784   *  Houghton Mifflin Harcourt Co   474 
 193,775      Huangshan Tourism Development Co Ltd   152 
 114,359   e  Huazhu Group Ltd (ADR)   4,945 
 49,858      Hyatt Hotels Corp   2,661 
 15,500      Ichibanya Co Ltd   830 
 1,675,663      IDP Education Ltd   23,068 
 437,185      Indian Hotels Co Ltd   564 
 163,070      InterContinental Hotels Group plc   8,560 
 158,928   e  International Game Technology plc   1,769 
 172,112   e  Invocare Ltd   1,209 
 58,142      Jack in the Box, Inc   4,611 
 85,869      Jackpotjoy plc   1,321 
 19,500   e  Japan Best Rescue System Co Ltd   195 
 318,987   *,g  Jiumaojiu International Holdings Ltd   754 
 223,707      Jollibee Foods Corp   671 
 65,600      Jubilant Foodworks Ltd   2,077 
 369,210   e  Jumbo Interactive Ltd   3,337 
 86,802   *  K12, Inc   2,286 
 27,755   *,e  Kambi Group plc   906 
 54,326      Kangwon Land, Inc   999 
 28,170   e  Kappa Create Co Ltd   420 
 23,600   e  Kisoji Co Ltd   570 
 12,746   *,e  KNT-CT Holdings Co Ltd   135 
 49,600      KOMEDA Holdings Co Ltd   926 
 216,546   *,e,g  Koolearn Technology Holding Ltd   930 
 112,716   e  Koshidaka Holdings Co Ltd   462 
 12,253      Kourakuen Holdings Corp   215 
 11,702   e  Kura Corp   638 
 6,151   *,e  Kura Sushi USA, Inc   81 
 33,183      Kyoritsu Maintenance Co Ltd   1,231 
 80,588   g  La Francaise des Jeux SAEM   2,957 
 1,693,114      Las Vegas Sands Corp   79,001 
 262,336   *  Laureate Education, Inc   3,484 
50

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES       COMPANY  VALUE
(000)
 
 19,413      Leejam Sports Co JSC  $370 
 252,756   g  LeoVegas AB   1,068 
 43,156   *  Lindblad Expeditions Holdings, Inc   367 
 10,100   *  Litalico, Inc   278 
 29,320   *  Lotte Tour Development Co Ltd   386 
 2,088,504   *  Macau Legend Development Ltd   284 
 671,707      Magnum BHD   340 
 355,556      Mandarin Oriental International Ltd   641 
 548,537      Marriott International, Inc (Class A)   50,784 
 62,114      Marriott Vacations Worldwide Corp   5,641 
 721,198      Marston’s plc   409 
 9,800   e  Matsuya Foods Co Ltd   341 
 2,065,872      McDonald’s Corp   453,438 
 49,299      McDonald’s Holdings Co Japan Ltd   2,398 
 6,907      MegaStudyEdu Co Ltd   173 
 22,200   e  Meiko Network Japan Co Ltd   156 
 1,618,791      Melco Crown Entertainment Ltd (ADR)   26,953 
 2,789,817      Melco International Development   4,916 
 133,783   e  Melia Hotels International S.A.   490 
 673,404      MGM Resorts International   14,647 
 1      Minor International PCL (ADR)    0^
 1,723,578      Minor International PCL (Foreign)   1,090 
 704,000   g  Minsheng Education Group Co Ltd   99 
 221,439   *  Mitchells & Butlers plc   386 
 11,610   *  Monarch Casino & Resort, Inc   518 
 5,417      Monogatari Corp   534 
 27,200   e  MOS Food Services, Inc   752 
 21,712   e  MTY Food Group, Inc   540 
 2,056      Nathan’s Famous, Inc   105 
 186,976   *  New Oriental Education & Technology Group (ADR)   27,953 
 64,362   *,e  Noodles & Co   442 
 360,649   *,e  Norwegian Cruise Line Holdings Ltd   6,171 
 100,300      Offcn Education Technology Co Ltd   482 
 13,800      Ohsho Food Service Corp   780 
 59,911   *,e  OneSmart International Education Group Ltd (ADR)   269 
 80,667   e  OneSpaWorld Holdings Ltd   524 
 97,758      OPAP S.A.   927 
 12,341   *  Orascom Development Holding AG.   119 
 205,167   e  Oriental Land Co Ltd   28,774 
 176,677      Paddy Power plc   28,040 
 102,684      Pandox AB   1,177 
 54,260      Papa John’s International, Inc   4,465 
 44,671      Paradise Co Ltd   524 
 258,534   e  Park Lawn Corp   5,339 
 38,470   *,†  Patisserie Holdings plc   1 
 237,970   *,e  Penn National Gaming, Inc   17,300 
 385,769   *,e  Perdoceo Education Corp   4,722 
 7,193   e  PIA Corp   222 
 109,394   *  Planet Fitness, Inc   6,741 
 188,471   *,e  PlayAGS, Inc   667 
 342,275      Playtech Ltd   1,598 
 23,205   e  Plenus Co Ltd   401 
 884,124   *,e  PointsBet Holdings Ltd   6,897 
 33,350      Power Wind Health Industry, Inc   181 
51

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES       COMPANY  VALUE
(000)
 
 2,625,200   *  PT Nusantara Properti International Tbk  $84 
 12,384   e  RCI Hospitality Holdings, Inc   253 
 18,378      Recipe Unlimited Corp   137 
 25,465   *,e  Red Robin Gourmet Burgers, Inc   335 
 476,813      Red Rock Resorts, Inc   8,154 
 318,000      Regal Hotels International Holdings Ltd   119 
 36,107   *,e  Regis Corp   222 
 3,270,429      Resorts World BHD   1,640 
 88,100      Resorttrust, Inc   1,343 
 296,639      Restaurant Brands International, Inc (Toronto)   17,038 
 36,951   *  Restaurant Brands New Zealand Ltd   292 
 670,680   e  Restaurant Group plc   426 
 22,000   e  Ringer Hut Co Ltd   540 
 120,000      Riso Kyoiku Co Ltd   330 
 70,561   e  Round One Corp   567 
 303,296   e  Royal Caribbean Cruises Ltd   19,632 
 29,200      Royal Holdings Co Ltd   505 
 28,009   e  Ruth’s Hospitality Group Inc   310 
 30,300   *,e  Saizeriya Co Ltd   617 
 2,132,359      Sands China Ltd   8,265 
 18,214      Saudi Airlines Catering Co   401 
 132,463   e,g  Scandic Hotels Group AB   397 
 131,000      Scholar Education Group   360 
 145,721   *,e  Scientific Games Corp (Class A)   5,087 
 159,914   *  SeaWorld Entertainment, Inc   3,154 
 136,877   *  Seera Group Holding   697 
 55,109   g  Ser Educacional S.A.   139 
 254,658   e  Service Corp International   10,741 
 10,800   e  SFP Holdings Co Ltd   140 
 30,720   *,e  Shake Shack, Inc   1,981 
 26,400      Shanghai Jinjiang International Hotels Development Co Ltd   159 
 1,158,000      Shanghai Jinjiang International Hotels Group Co Ltd   182 
 1,166,000      Shangri-La Asia Ltd   956 
 193,300      Shenzhen Overseas Chinese Town Co Ltd   193 
 147,200   *,e  Silver Life Co Ltd   2,814 
 97,529      Six Flags Entertainment Corp   1,980 
 1,509,000      SJM Holdings Ltd   1,789 
 45,060      SkiStar AB   605 
 817,074      Sky City Entertainment Group Ltd   1,621 
 219,482      Skylark Co Ltd   3,136 
 82,759      Sodexho Alliance S.A.   5,899 
 96,840      Songcheng Performance Development Co Ltd   261 
 589,981      SSP Group plc   1,368 
 16,500      St Marc Holdings Co Ltd   242 
 914,308      Star Entertainment Grp Ltd   2,017 
 1,717,086      Starbucks Corp   147,532 
 64,189      Strategic Education, Inc   5,871 
 9,900   e  Studio Alice Co Ltd   158 
 116,693      Sushiro Global Holdings Ltd   2,968 
 1,936,039      Tabcorp Holdings Ltd   4,662 
 374,535   *  TAL Education Group (ADR)   28,480 
 23,319   *  Target Hospitality Corp   28 
 238,480   *  Terminix Global Holdings, Inc   9,511 
52

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES       COMPANY  VALUE
(000)
 
 265,630      Texas Roadhouse, Inc (Class A)  $16,148 
 1,100,000      Tianli Education International Holdings Ltd   964 
 15,171   *,e  TKP Corp   325 
 92,100   e  Tokyo Dome Corp   663 
 17,885      Tokyotokeiba Co Ltd   908 
 49,159   e  Toridoll.corp   667 
 21,184      Tosho Co Ltd   261 
 35,220   *,e  Transat AT, Inc   103 
 469,704   e  TUI AG. (DI)   1,763 
 147,762      Twin River Worldwide Holdings Inc   3,882 
 304,366      Unibet Group plc (ADR)   2,204 
 25,452   *,e  Universal Technical Institute, Inc   129 
 56,371      Vail Resorts, Inc   12,062 
 23,792   e  Watami Co Ltd   224 
 249,387      Wendy’s   5,560 
 30,206   *  Westlife Development Ltd   162 
 95,706      Wetherspoon (J.D.) plc   1,030 
 187,909      Whitbread plc   5,134 
 1,174,557      William Hill plc   4,175 
 61,072      Wingstop, Inc   8,346 
 554,000      Wisdom Education International Holdings Co Ltd   209 
 137,303   *,e  WW International Inc   2,591 
 885,495      Wyndham Destinations, Inc   27,238 
 451,740      Wyndham Hotels & Resorts, Inc   22,813 
 26,897,190      Wynn Macau Ltd   43,165 
 544,608      Wynn Resorts Ltd   39,108 
 356,500   e,g  Xiabuxiabu Catering Management China Holdings Co Ltd   440 
 524,461      YDUQS Part   2,560 
 4,235   e  Yomiuri Land Co Ltd   169 
 71,719   e  Yoshinoya D&C Co Ltd   1,343 
 1,172,310      Yum China Holdings, Inc   62,074 
 1,146,715      Yum! Brands, Inc   104,695 
 153,222   e  Zensho Co Ltd   3,616 
        TOTAL CONSUMER SERVICES   2,300,137 
              
DIVERSIFIED FINANCIALS - 3.7%        
 61,211   *  360 Finance, Inc (ADR)   731 
 129,334      3i Group plc   1,661 
 39,771      ABC Arbitrage   344 
 27,002      Ackermans & Van Haaren   3,502 
 277,770   e  Acom Co Ltd   1,208 
 87,711      Aeon Credit Service M BHD   220 
 121,400      AEON Financial Service Co Ltd   1,107 
 65,000      Aeon Thana Sinsap Thailand PCL   230 
 36,358      Affiliated Managers Group, Inc   2,486 
 2,996,539      AGNC Investment Corp   41,682 
 337,200   *,e  Aiful Corp   874 
 321,256      AJ Bell plc   1,865 
 29,203      Aker ASA (A Shares)   1,258 
 40,316      Alaris Equity Partners Income   331 
 26,077   e  Alerus Financial Corp   511 
 848,495      Alexander Forbes Group Holdings Ltd   177 
 545,904      Ally Financial, Inc   13,686 
53

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES       COMPANY  VALUE
(000)
 
 1,165,048      Amanat Holdings PJSC  $250 
 7,808   e  A-Mark Precious Metals, Inc   263 
 2,221,684      American Express Co   222,724 
 172,882      Ameriprise Financial, Inc   26,643 
 3,531,414      AMP Ltd   3,325 
 51,542   g  Amundi S.A.   3,633 
 1,195,564   g  Anima Holding S.p.A   4,688 
 5,167,477      Annaly Capital Management, Inc   36,792 
 205,906      Anworth Mortgage Asset Corp   338 
 252,371      Apollo Commercial Real Estate Finance, Inc   2,274 
 299,460      Apollo Global Management, Inc   13,401 
 169,345   e  Arbor Realty Trust, Inc   1,942 
 70,424      Ares Commercial Real Estate Corp   644 
 145,574      Ares Management Corp   5,884 
 87,397      Arlington Asset Investment Corp (Class A)   248 
 188,083      ARMOUR Residential REIT, Inc   1,789 
 294,784      Artisan Partners Asset Management, Inc   11,494 
 60,213   *  Aseer Trading Tourism & Manufacturing Co   225 
 636,780      Ashmore Group plc   2,939 
 109,050   *  Assetmark Financial Holdings, Inc   2,371 
 1,807   e  Associated Capital Group, Inc   65 
 4,348   *,e  Atlanticus Holdings Corp   52 
 24,297      Aurelius AG.   394 
 274,109      Australian Stock Exchange Ltd   16,026 
 250,418      Avanza Bank Holding AB   4,922 
 289,300      Avic Capital Co Ltd   187 
 2,215   *,†  Ayala Corp Preferred    0^
 192,105      Azimut Holding S.p.A.   3,469 
 30,804   e  B. Riley Financial, Inc   772 
 1,984,153      B3 SA-Brasil Bolsa Balcao   19,436 
 169,185      Bajaj Finance Ltd   7,580 
 383,584   g  Banca Farmafactoring S.p.A   2,157 
 611,414      Banca Generali S.p.A   18,595 
 24,205      Banca IFIS S.p.A.   233 
 159,854      Banca Mediolanum S.p.A   1,151 
 29,598      Banco BTG Pactual S.A.   208 
 220,300      Banco BTG Pactual S.A. - Unit   2,858 
 54,618      Banco Latinoamericano de Exportaciones S.A. (Class E)   664 
 1,614,400      Bangkok Commercial Asset Management PCL   1,018 
 3,973,137      Bank of New York Mellon Corp   136,438 
 458,554      BGC Partners, Inc (Class A)   1,101 
 245,637      BlackRock, Inc   138,429 
 297,800      Blackstone Group, Inc   15,545 
 249,297      Blackstone Mortgage Trust, Inc   5,477 
 269,088   *  Blucora, Inc   2,535 
 977,012   e  BOCOM International Holdings Co Ltd   136 
 794,074   e  Bolsa Mexicana de Valores S.A. de C.V.   1,800 
 727,071   *,e  Brait S.A.   151 
 510,330      Brewin Dolphin Holdings plc   1,536 
 281,638      Brightsphere Investment Group, Inc   3,633 
 205,283   e  Broadmark Realty Capital, Inc   2,024 
 1,265,503   e  Brookfield Asset Management, Inc   41,875 
 357,638      Brookfield Asset Management, Inc (New York)   11,824 
54

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES       COMPANY  VALUE
(000)
 
 245,238      BT Investment Management Ltd  $971 
 54,441      Bure Equity AB   1,712 
 1,590,250      Burford Capital Ltd   12,802 
 1,977,300      Bursa Malaysia BHD   4,042 
 257,300      Caitong Securities Co Ltd   544 
 37,983   *,†  Calamos Asset Management, Inc    0 
 220,211      Canaccord Financial, Inc   1,123 
 258,240   *  Cannae Holdings, Inc   9,622 
 448,654      Capital One Financial Corp   32,240 
 1,585,990      Capital Securities Corp   592 
 248,964      Capstead Mortgage Corp   1,399 
 175,175      Carlyle Group, Inc   4,322 
 158,109      CBOE Global Markets, Inc   13,872 
 69,487      Cembra Money Bank AG.   8,247 
 29,810   e  Century Leasing System, Inc   1,625 
 284,095      Cerved Information Solutions S.p.A   2,033 
 1,139,180      Chailease Holding Co Ltd   5,218 
 657,649      Challenger Financial Services Group Ltd   1,830 
 328,600      Changjiang Securities Co Ltd   389 
 3,495,237      Charles Schwab Corp   126,632 
 23,645   e  Cherry Hill Mortgage Investment Corp   212 
 317,268      Chimera Investment Corp   2,602 
 677,000      China Bills Finance Corp   341 
 9,242,698      China Cinda Asset Management Co Ltd   1,742 
 927,925      China Everbright Ltd   1,248 
 1,769,045      China Galaxy Securities Co Ltd   1,001 
 211,300      China Galaxy Securities Co Ltd (Class A)   396 
 139,900      China Great Wall Securities Co Ltd   270 
 10,834,000   g  China Huarong Asset Management Co Ltd   1,154 
 647,200   g  China International Capital Corp Ltd   1,505 
 438,980      China Merchants Securities Co Ltd   1,399 
 148,300   g  China Renaissance Holdings Ltd   340 
 184,460      Cholamandalam Investment and Finance Co Ltd   626 
 478,194   *  CI Financial Corp   6,066 
 5,204,215      CITIC Securities Co Ltd   11,705 
 638,100      CITIC Securities Co Ltd (Class A)   2,833 
 168,818      Close Brothers Group plc   2,221 
 287,804   g  CMC Markets plc   1,149 
 603,952   e  CME Group, Inc   101,047 
 204,896      Coface S.A.   1,433 
 99,450      Cohen & Steers, Inc   5,543 
 144,212      Colony Credit Real Estate, Inc   708 
 206,800      Coronation Fund Managers Ltd   496 
 27,063      Corp Financiera Alba   1,129 
 137,160   *  Corp Financiera Colombiana S.A.   953 
 38,983      Cowen Group, Inc   634 
 4,725   *,e  Creades AB   436 
 15,130   *,e  Credit Acceptance Corp   5,124 
 72,546      Credit Corp Group Ltd   896 
 163,200      Credit Saison Co Ltd   1,734 
 7,125,730      Credit Suisse Group   71,134 
 25,009   *  CreditAccess Grameen Ltd   252 
 13,277      CRISIL Ltd   321 
 178,908      CSC Financial Co Ltd   1,320 
55

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES       COMPANY  VALUE
(000)
 
 15,524   e  Curo Group Holdings Corp  $109 
 46,800   e  Curves Holdings Co Ltd   302 
 251,517      Daewoo Securities Co Ltd   1,820 
 28,727      Daishin Securities Co Ltd   295 
 15,079      Daishin Securities Co Ltd PF   126 
 1,281,913   *  Daiwa Securities Group, Inc   5,392 
 11,750      Daou Data Corp   132 
 22,605      Daou Technology, Inc   414 
 91,973      DeA Capital S.p.A.   125 
 260,961      Deutsche Bank AG. (Registered)   2,200 
 10,850      Deutsche Beteiligungs AG.   394 
 84,540      Deutsche Boerse AG.   14,822 
 4,590   e  Diamond Hill Investment Group, Inc   580 
 3,405,035      Discover Financial Services   196,743 
 52,687   e,g  doBank S.p.A   523 
 130,500      Dongxing Securities Co Ltd   247 
 123,824   *  Donnelley Financial Solutions, Inc   1,654 
 1,969,624      Dubai Financial Market   453 
 41,482   e  Dynex Capital, Inc   631 
 174,445      E*TRADE Financial Corp   8,731 
 486,580      East Money Information Co Ltd   1,727 
 91,336      Eaton Vance Corp   3,484 
 254,627      ECN Capital Corp   968 
 12,825,648      Edelweiss Capital Ltd   10,311 
 9,865   e  EFG Financial Products Holding AG.   352 
 106,737   e  EFG International   596 
 31,086      eGuarantee, Inc   710 
 542,208      Egyptian Financial Group-Hermes Holding   472 
 479,311      Element Financial Corp   3,988 
 74,645      Ellington Financial Inc   915 
 15,711   e  Ellington Residential Mortgage REIT   174 
 50,474   *,e  Encore Capital Group, Inc   1,948 
 91,187   *  Enova International, Inc   1,495 
 222,102   *  EQT AB   4,310 
 2,535,913      Equitable Holdings, Inc   46,255 
 70,723      Eurazeo   3,829 
 969,601   g  Euronext NV   121,458 
 232,600      Everbright Securities Co Ltd   754 
 55,001      Evercore Inc   3,600 
 14,414      EXOR NV   782 
 64,051   *  Ezcorp, Inc (Class A)   322 
 27,735      Factset Research Systems, Inc   9,288 
 2,072,966      Far East Horizon Ltd   1,692 
 473,653      Federated Investors, Inc (Class B)   10,188 
 73,656      Fiera Capital Corp   565 
 69,700   e  Financial Products Group Co Ltd   355 
 15,440   *  FinTech Group AG.   772 
 101,353   e  FinVolution Group (ADR)   186 
 223,500      First Capital Securities Co Ltd   367 
 2,706,000      First Pacific Co   736 
 50,467      FirstCash, Inc   2,887 
 4,625,219      FirstRand Ltd   11,350 
 39,270   g  Flow Traders   1,569 
 73,537   *  Focus Financial Partners, Inc   2,411 
56

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES       COMPANY  VALUE
(000)
 
 485,800      Founder Securities Co Ltd  $603 
 208,500      Franklin Resources, Inc   4,243 
 9,333,957      Fuhwa Financial Holdings Co Ltd   5,779 
 196,749   *,e,g  Funding Circle Holdings plc   202 
 36,084      Fuyo General Lease Co Ltd   2,237 
 4,785   e  GAMCO Investors, Inc (Class A)   55 
 946,017   e  Gentera SAB de C.V.   270 
 670,800      GF Securities Co Ltd   854 
 416,100      GF Securities Co Ltd (Class A)   969 
 22,054      Gimv NV   1,237 
 53,501      GMO Financial Holdings, Inc   322 
 318,011   e  goeasy Ltd   15,622 
 570,058      Goldman Sachs Group, Inc   114,565 
 97,211      Granite Point Mortgage Trust, Inc   689 
 30,589      Great Ajax Corp   254 
 126,955   *  Green Dot Corp   6,425 
 11,729      Greenhill & Co, Inc   133 
 31,021   e  GRENKELEASING AG.   1,147 
 96,644   *,e  Grid Dynamics Holdings, Inc   747 
 15,148      Groupe Bruxelles Lambert S.A. (EN Brussels)   1,366 
 244,044      Grupo de Inversiones Suramericana S.A.   1,315 
 32,231      Gruppo MutuiOnline S.p.A   895 
 261,500      Guosen Securities Co Ltd   520 
 3,285,800      Guotai Junan International Hol   440 
 469,600      Guotai Junan Securities Co Ltd   1,265 
 273,600   g  Guotai Junan Securities Co Ltd (Hong Kong)   382 
 178,700      Guoyuan Securities Co Ltd   317 
 2,062   *,e  GWG Holdings Inc   18 
 427,946      Haci Omer Sabanci Holding AS   460 
 1,396,962      Haitong Securities Co Ltd   1,195 
 532,700      Haitong Securities Co Ltd (Class A)   1,113 
 77,485      Hamilton Lane, Inc   5,005 
 22,252      Hankook Tire Worldwide Co Ltd   320 
 118,689      Hannon Armstrong Sustainable Infrastructure Capital, Inc   5,017 
 101,489   *  Hanwha Securities Co   150 
 44,129      Hargreaves Lansdown plc   888 
 47,701   g  HDFC Asset Management Co Ltd   1,473 
 54,118      Hellenic Exchanges S.A.   179 
 57,139      Hitachi Capital Corp   1,344 
 30,434      Hithink RoyalFlush Information Network Co Ltd   720 
 2,134,516      Hong Kong Exchanges and Clearing Ltd   100,479 
 167,000      Hotai Finance Co Ltd   474 
 42,855      Houlihan Lokey, Inc   2,531 
 210,600      Huaan Securities Co Ltd   273 
 755,600   g  Huatai Securities Co Ltd   1,243 
 485,022      Huatai Securities Co Ltd (Class A)   1,471 
 131,900      Huaxi Securities Co Ltd   233 
 56,618   e  HUB24 Ltd   763 
 27,926   *  Hypoport AG.   17,493 
 28,400      IBJ Leasing Co Ltd   731 
 59,731   g  ICICI Securities Ltd   376 
 532,608      IG Group Holdings plc   5,441 
 235,345   e  IGM Financial, Inc   5,396 
57

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES       COMPANY  VALUE
(000)
 
 19,951      IIFL Wealth Management Ltd  $260 
 232,426      Indiabulls Housing Finance Ltd   500 
 175,049      Indiabulls Securities Ltd   597 
 28,556   g  Indian Energy Exchange Ltd   81 
 338,300      Industrial Securities Co Ltd   414 
 20,355      Industrivarden AB   541 
 645,945      Infrastructure Development Finance Co Ltd   284 
 338,510      IntegraFin Holdings plc   2,217 
 103,490      Interactive Brokers Group, Inc (Class A)   5,002 
 1,092,424      Intercontinental Exchange Group, Inc   109,297 
 322,394      Intermediate Capital Group plc   4,958 
 32,507      Inversiones La Construccion S.A.   193 
 297,717      Invesco Ltd   3,397 
 303,648   e  Invesco Mortgage Capital, Inc   823 
 270,230      Investec Ltd   507 
 784,016      Investec plc   1,443 
 31,873   e  Investment AB Oresund   455 
 60,539      Investor AB (B Shares)   3,954 
 677,867      IOOF Holdings Ltd   1,505 
 9,390      iShares Core S&P 500 ETF   3,156 
 21,300   e  iShares MSCI ACWI ex US ETF   980 
 477,536   e  iShares MSCI Canada Index Fund   13,089 
 2,092,608      iShares MSCI EAFE Index Fund   133,195 
 12,800   e  iShares MSCI EAFE Small-Cap ETF   755 
 1,330,653   e  iShares MSCI Emerging Markets   58,669 
 5,000      iShares MSCI Emerging Markets Small-Cap ETF   219 
 408,734      iShares MSCI Saudi Arabia ETF   12,139 
 69      iShares MSCI South Korea Index Fund   5 
 152,600   e  iShares Russell 2000 Index Fund   22,858 
 90,000   e  iShares Russell Midcap Growth Index Fund   15,558 
 217,767      Isracard Ltd   540 
 71,007      J Trust Co Ltd   164 
 23,625      Jaccs Co Ltd   384 
 52,218   *  Jafco Co Ltd   2,205 
 200,106   e  Japan Investment Adviser Co Ltd   2,369 
 95,700      Japan Securities Finance Co Ltd   464 
 328,531      Jefferies Financial Group, Inc   5,914 
 1,600,581      Jih Sun Financial Holdings Co Ltd   610 
 364,124      JM Financial Ltd   383 
 82,052      JSE Ltd   574 
 29,747      Julius Baer Group Ltd   1,263 
 180,121   *  Julius Baer Holding AG.   347 
 501,891      Jupiter Investment Management Group Ltd   1,449 
 68,547      KBC Ancora   2,157 
 32,153   e  Kinnevik AB   1,305 
 11,791      KIWOOM Securities Co Ltd   1,001 
 760,554      KKR & Co, Inc   26,117 
 44,344      KKR Real Estate Finance Trust, Inc   733 
 37,717      Korea Investment Holdings Co Ltd   2,331 
 16,110      KRUK S.A.   548 
 738,625      Krungthai Card PCL   817 
 321,563   *  Kumho Investment Bank   140 
 165,981      Ladder Capital Corp   1,182 
 79,470      Lazard Ltd (Class A)   2,626 
58

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES       COMPANY  VALUE
(000)
 
 116,552   *,e  LendingClub Corp  $549 
 728,344      London Stock Exchange Group plc   83,553 
 185,421      LPL Financial Holdings, Inc   14,216 
 10,101      Lundbergs AB (B Shares)   499 
 15,800   *  M&A Capital Partners Co Ltd   745 
 5,339,357      M&G plc   10,975 
 328,676      Macquarie Group Ltd   28,491 
 118,828      Magellan Financial Group Ltd   4,901 
 577,180      Mahindra & Mahindra Financial Services Ltd   970 
 15,728,734      Man Group plc   23,316 
 205,162      Manappuram General Finance & Leasing Ltd   440 
 55,042      MarketAxess Holdings, Inc   26,508 
 5,393      Marlin Business Services Corp   38 
 60,600   e  Marusan Securities Co Ltd   260 
 131,000   e  Matsui Securities Co Ltd   1,179 
 38,191      Meritz finance Holdings Co Ltd   297 
 229,725      Meritz Securities Co Ltd   637 
 14,615,906      Metro Pacific Investments Corp   1,056 
 738,237      MFA Financial Inc   1,978 
 280,470   e  Mitsubishi UFJ Lease & Finance Co Ltd   1,303 
 65,089      MLP AG.   439 
 42,501   e  Moelis & Co   1,493 
 67,036   e  Moelis Australia Ltd   194 
 179,452      Monex Beans Holdings, Inc   454 
 241,754      Moody’s Corp   70,072 
 8,354,630      Morgan Stanley   403,946 
 47,948      Morningstar, Inc   7,701 
 33,659      Motilal Oswal Financial Services Ltd   298 
 130,231      MSCI, Inc (Class A)   46,464 
 574,400      Muangthai Capital PCL   900 
 76,519      Multi Commodity Exchange of India Ltd   1,794 
 172,100      Nanjing Securities Co Ltd   360 
 164,606      Nasdaq Inc   20,199 
 125,834      Natixis   283 
 528,673      Navient Corp   4,467 
 9,700      NEC Capital Solutions Ltd   174 
 25,722      Nelnet, Inc (Class A)   1,550 
 110,530      Netwealth Group Ltd   1,217 
 592,240      New Residential Investment Corp   4,708 
 610,638      New York Mortgage Trust, Inc   1,557 
 56,823   *,†  NewStar Financial, Inc   14 
 36,916      NICE Holdings Co Ltd   575 
 145,647   *  Ninety One Ltd   384 
 111,797   g  Nippon Life India Asset Management Ltd   400 
 17,600   *  Noah Holdings Ltd (ADR)   459 
 3,340,156   *  Nomura Holdings, Inc   15,264 
 65,800      Northeast Securities Co Ltd   96 
 26,295      Northern Trust Corp   2,050 
 72,423      Numis Corp plc   277 
 164,393      Okasan Holdings, Inc   543 
 803,126      OneMain Holdings, Inc   25,098 
 78,581      Onex Corp   3,505 
 34,086   *,e  Oportun Financial Corp   402 
 11,254   e  Oppenheimer Holdings, Inc   251 
59

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES       COMPANY  VALUE
(000)
 
 105,445   e  Orchid Island Capital, Inc  $528 
 582,700      Orient Corp   630 
 299,200      Orient Securities Co Ltd   488 
 3,084,440      ORIX Corp   38,525 
 616,050      Osaka Securities Exchange Co Ltd   17,267 
 83,622      P2P Global Investments plc   909 
 550,400   *  Pacific Securities Co Ltd   331 
 2,484      Partners Group   2,285 
 193,782      PennyMac Mortgage Investment Trust   3,114 
 64,241      Perpetual Trustees Australia Ltd   1,297 
 16,965   *,e  Pico Holdings, Inc   152 
 305,377   e  Pinnacle Investment Management Group Ltd   1,124 
 28,486      Piper Jaffray Cos   2,079 
 31,461      PJT Partners, Inc   1,907 
 315,656      Platinum Asset Mangement Ltd   700 
 108,935      Plus500 Ltd   2,202 
 77,665   *  PRA Group, Inc   3,103 
 757,683      President Securities Corp   409 
 285,429      Provident Financial plc   713 
 165,201      PSG Group Ltd   451 
 5,020,944   *  PT Pacific Strategic Financial Tbk   286 
 98,922   e  Pzena Investment Management, Inc (Class A)   530 
 137,680   *,e  Qudian, Inc (ADR)   171 
 2,496,408   g  Quilter plc   4,128 
 1,167,018      Ratchthani Leasing PCL   149 
 61,711      Rathbone Brothers   1,226 
 518,819      Ratos AB (B Shares)   1,934 
 96,284      Raymond James Financial, Inc   7,006 
 76,956      Ready Capital Corp   862 
 459,931      Redwood Trust, Inc   3,459 
 31,311   *  Regional Management Corp   522 
 71,907      Reinet Investments S.C.A   1,247 
 267,237      Remgro Ltd   1,494 
 159,648   g  Resurs Holding AB   826 
 239,000   *  Ribbit LEAP Ltd   3,107 
 15,861      Ricoh Leasing Co Ltd   429 
 666,110      Rural Electrification Corp Ltd   898 
 717,487      S&P Global, Inc   258,726 
 35,466   e  Safeguard Scientifics, Inc   194 
 21,665      Samsung Card Co   523 
 55,684      Samsung Securities Co Ltd   1,455 
 165,157      Sanne Group plc   1,399 
 105,614   e  Santander Consumer USA Holdings, Inc   1,921 
 427,247   *  SBI Holdings, Inc   11,071 
 16,522      Schroders plc   574 
 28,252      Sculptor Capital Management, Inc   332 
 176,200      SDIC Capital Co Ltd   398 
 306,370      Sealand Securities Co Ltd   241 
 169,229      SEI Investments Co   8,583 
 141,323   *  Sezzle, Inc (ADR)   704 
 270,100   *  Shanghai Dajiang Group   80 
 179,080      Shanxi Securities Co Ltd   210 
 310,000      Sheng Ye Capital Ltd   220 
 1,472,000      Shenwan Hongyuan Group Co Ltd   1,153 
60

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES       COMPANY  VALUE
(000)
 
 3,499      Shinyoung Securities Co Ltd  $140 
 190,616      Shriram Transport Finance Co Ltd   1,609 
 958,912   *  SHUAA Capital PSC   173 
 9,117   *,e  Siebert Financial Corp   29 
 8,044   e  Silvercrest Asset Management Group, Inc   84 
 1,513,301      Singapore Exchange Ltd   10,207 
 176,300     Sinolink Securities Co Ltd   392 
 19,055,077   e  Skyway Securities Group Ltd   324 
 542,214      SLM Corp   4,387 
 768,475   *,†,e  SNS Reaal   9 
 5,647      Societe Fonciere Financiere et de Participations FFP   479 
 14,622   e  Sofina S.A.   3,992 
 213,950      SooChow Securities Co Ltd   338 
 248,592      Southwest Securities Co Ltd   193 
 13,447   *  Spandana Sphoorty Financial Ltd   93 
 94,358      Sparx Group Co Ltd   204 
 8,000   e  SPDR Trust Series 1   2,679 
 23,566   e  Sprott, Inc   804 
 658,817      Srisawad Corp PCL   1,022 
 494,571      St. James’s Place plc   5,950 
 2,323,171      Standard Life Aberdeen plc   6,766 
 1,907,309      Starwood Property Trust, Inc   28,781 
 835,803      State Street Corp   49,588 
 114,341      Stifel Financial Corp   5,781 
 65,893   *  StoneX Group, Inc   3,371 
 47,224      Strike Co Ltd   2,775 
 589,735      Sun Hung Kai & Co Ltd   231 
 24,400      Sundaram Finance Ltd   431 
 10,371      Swissquote Group Holding S.A.   842 
 3,114   *,e  SWK Holdings Corp   44 
 403,593      Synchrony Financial   10,562 
 179,262      T Rowe Price Group, Inc   22,985 
 2,526,282   e  Tai Fook Securities Group Ltd   608 
 133,503      Taiwan Acceptance Corp   460 
 118,479      Tamburi Investment Partners S.p.A.   785 
 11,682      Tata Investment Corp Ltd   134 
 310,582      TD Ameritrade Holding Corp   12,159 
 1,309,045      Tel Aviv Stock Exchange Ltd   5,858 
 314,300      Tianfeng Securities Co Ltd   301 
 52,475   e  TMX Group Ltd   5,397 
 220,380   e  Tokai Tokyo Securities Co Ltd   573 
 81,759   *  Tong Yang Investment Bank   193 
 164,188      TPG RE Finance Trust, Inc   1,389 
 125,884      Tradeweb Markets, Inc   7,301 
 522,894      Transaction Capital Ltd   674 
 627,337      Tullett Prebon plc   1,846 
 434,701      Two Harbors Investment Corp   2,213 
 76,220   *  TY Holdings Co Ltd   1,593 
 6,601      Ubiquoss Holdings, Inc   163 
 4,310,839      UBS Group AG   48,165 
 29,355      Ujjivan Financial Services Ltd   85 
 151,634   *  Uranium Participation Corp   467 
 18,600   *  Uzabase, Inc   669 
 247      Value Line, Inc   6 
61

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES       COMPANY  VALUE
(000)
 
 1,256,011      Value Partners Group Ltd  $539 
 575      Vanguard Emerging Markets ETF   25 
 25,000      Vanguard FTSE Developed Markets ETF   1,023 
 182,500      Virtu Financial, Inc   4,199 
 22,993   e  Virtus Investment Partners, Inc   3,188 
 195,898      Vontobel Holding AG.   12,926 
 1,698,929      Voya Financial, Inc   81,430 
 4,519      VP Bank AG.   555 
 17,050      VZ Holding AG.   1,521 
 99,807      Waddell & Reed Financial, Inc (Class A)   1,482 
 25,356      Warsaw Stock Exchange   297 
 2,092,490      Waterland Financial Holdings   853 
 25,009      Wendel   2,269 
 112,800   e  Western Asset Mortgage Capital Corp   230 
 218,800      Western Securities Co Ltd   307 
 17,144   e  Westwood Holdings Group, Inc   191 
 357,495      WisdomTree Investments, Inc   1,144 
 94,772      Woori Investment & Securities Co Ltd   740 
 6,694   *,e  World Acceptance Corp   707 
 176,016   *  XP, Inc   7,338 
 17,427   e  Yintech Investment Holdings Ltd (ADR)   125 
 1,944,000   *,g  Yixin Group Ltd   487 
 855,692      Zeder Investments Ltd   119 
 124,665      Zenkoku Hosho Co Ltd   4,927 
 162,829      Zheshang Securities Co Ltd   428 
 1,443,603   *,e  Zip Co Ltd   6,614 
        TOTAL DIVERSIFIED FINANCIALS   4,175,777 
              
ENERGY - 2.3%        
 2,089   e  Adams Resources & Energy, Inc   42 
 15,807,104      Adaro Energy Tbk   1,214 
 205,149   *,e  Advantage Oil & Gas Ltd   270 
 80,381      Aegis Logistics Ltd   251 
 1,070,049      Aker BP ASA   16,727 
 50,744      Aldrees Petroleum and Transport Services Co   897 
 482,822      Ampol Ltd   8,333 
 171,283      Anglo Pacific Group plc   280 
 407,774      Antero Midstream Corp   2,190 
 879,643   *,e  Antero Resources Corp   2,419 
 254,336      Apache Corp   2,409 
 387,397   e  ARC Resources Ltd   1,731 
 21,867   *,e  Arch Resources, Inc   929 
 224,809      Archrock, Inc   1,209 
 57,435   e  Ardmore Shipping Corp   204 
 59,528   *,e  Aspen Aerogels, Inc   652 
 653,915      Baker Hughes Co   8,691 
 997,200      Bangchak Corp PCL   473 
 3,816,600      Banpu PCL (Foreign)   704 
 1,878,863      Beach Petroleum Ltd   1,802 
 118,155   e  Berry Petroleum Co LLC   375 
 3,779,102      Bharat Petroleum Corp Ltd   18,087 
 291,886   e  Birchcliff Energy Ltd   335 
 33,184   *  Bonanza Creek Energy, Inc   624 
 18,752,297      BP plc   54,231 
62

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES       COMPANY  VALUE
(000)
 
 172,178      BP plc (ADR)  $3,006 
 196,672      Brigham Minerals, Inc   1,754 
 4,650,000   *,†,e  Brightoil Petroleum Holdings Ltd   675 
 28,279   *  Bristow Group, Inc   601 
 449,618   e,g  BW LPG Ltd   1,857 
 401,383   e  BW Offshore Ltd   1,136 
 2,568,822      Cabot Oil & Gas Corp   44,595 
 241,502      Cactus, Inc   4,634 
 1,022,200   *  Cairn Energy plc   1,897 
 382,585      Cameco Corp (Toronto)   3,864 
 158,931   e  Canacol Energy Ltd   423 
 1,258,223      Canadian Natural Resources Ltd (Canada)   20,165 
 1,011,632      Cenovus Energy, Inc (Toronto)   3,943 
 800,462   *,e  CGG S.A.   534 
 678,575   *  ChampionX Corp   5,422 
 506,618   *  Cheniere Energy, Inc   23,441 
 4,088,708      Chevron Corp   294,387 
 300,803      China Aviation Oil Singapore Corp Ltd   206 
 517,100      China Merchants Energy Shipping Co Ltd   439 
 1,999,126      China Oilfield Services Ltd   1,399 
 454,100      China Shenhua Energy Co Ltd   1,102 
 3,403,695      China Shenhua Energy Co Ltd (Hong Kong)   6,109 
 842,000      China Shipping Development Co Ltd   351 
 3,812,000      China Suntien Green Energy Cor   991 
 86,379      Cimarex Energy Co   2,102 
 622,304   *,e  Clean Energy Fuels Corp   1,543 
 29,091,946      CNOOC Ltd   27,983 
 363,432   *  CNX Resources Corp   3,431 
 673,810      Coal India Ltd   1,063 
 118   *,†,b  Cobalt International Energy, Inc    0^
 88,001      Computer Modelling Group Ltd   341 
 34,420   *,e  Comstock Resources Inc   151 
 1,027,408      Concho Resources, Inc   45,329 
 2,341,685      ConocoPhillips   76,901 
 47,330   *,e  CONSOL Energy, Inc   210 
 132,820   *,e  Contango Oil & Gas Co   178 
 25,666   e  Continental Resources, Inc   315 
 1,741,077   *  Cooper Energy Ltd   440 
 140,928      Cosan SA Industria e Comercio   1,715 
 259,300      COSCO SHIPPING Energy Transportation Co Ltd   270 
 61,958      Cosmo Energy Holdings Co Ltd   886 
 1,236,051   e  Crescent Point Energy Corp   1,495 
 71,555      CropEnergies AG.   1,243 
 51,121   e  CVR Energy, Inc   633 
 3,322,424      Dana Gas PJSC   645 
 6,848      Delek Group Ltd   132 
 103,843      Delek US Holdings, Inc   1,156 
 1,469,608   *  Devon Energy Corp   13,902 
 193,860   e  DHT Holdings, Inc   1,000 
 4,053,151      Dialog Group BHD   3,719 
 49,643   *,e  Diamond S Shipping Inc   341 
 273,310      Diamondback Energy, Inc   8,232 
 1,492,678      Diversified Gas & Oil plc   2,021 
 19,519   e  DMC Global, Inc   643 
63

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES       COMPANY  VALUE
(000)
 
 610,659   e  DNO International ASA  $303 
 70,610   *  Dorian LPG Ltd   566 
 24,836   *,e  Drilling Co of 1972   536 
 57,977   *  Dril-Quip, Inc   1,435 
 44,709   *,e  Earthstone Energy, Inc   116 
 5,311,416      Ecopetrol S.A.   2,630 
 381,595      Empresas COPEC S.A.   2,861 
 80,053      Enauta Participacoes S.A.   138 
 2,171,808      Enbridge, Inc (Toronto)   63,447 
 432,658   e  EnCana Corp   3,530 
 196,084   e  Enerflex Ltd   680 
 1,168,600   *,†  Energy Earth PCL    0^
 91,069   *,e  Energy Fuels, Inc   153 
 1      Energy Transfer LP    0^
 243,416   e  Enerplus Resources Fund   446 
 338,114      ENI S.p.A.   2,643 
 1,639,701      EOG Resources, Inc   58,931 
 1,687,827      EQT Corp   21,824 
 3,252,357   *  Equinor ASA   46,078 
 24,531   *  Equital Ltd   442 
 1,238,094      Equitrans Midstream Corp   10,474 
 1,061,300      Esso Thailand PCL (Foreign)   204 
 70,596   e  Etablissements Maurel et Prom   122 
 410,111   e  Euronav NV   3,631 
 42,904      Evolution Petroleum Corp   96 
 38,227   *,e  Exmar NV   95 
 50,230   *  Exterran Corp   209 
 131,673   e  Exxaro Resources Ltd   976 
 4,414,436      Exxon Mobil Corp   151,548 
 27,236   e  Falcon Minerals Corp   66 
 33,740   e  FLEX LNG Ltd   191 
 1,177,714      Formosa Petrochemical Corp   3,268 
 263,526   *,e  Frank’s International NV   406 
 104,142   e  Freehold Royalty Trust   289 
 162,515      Frontera Energy Corp   260 
 189,092   e  Frontline Ltd   1,229 
 249,223   e  Frontline Ltd (Sigmax MTF)   1,641 
 94,120   *,e  Fugro NV   368 
 66,623      Galp Energia SGPS S.A.   618 
 104,037      Gazprom (ADR)   454 
 5,689,620      Gazprom OAO (ADR)   24,761 
 24,813      Gaztransport Et Technigaz S.A.   2,366 
 159,959   e  Gibson Energy, Inc   2,592 
 142,006   *,e  Golar LNG Ltd   860 
 7,518   *,e  Goodrich Petroleum Corp   58 
 49,540      Great Eastern Shipping Co Ltd   158 
 276,424   *  Green Plains Inc   4,279 
 51,684      Grupa Lotos S.A.   461 
 56,154      GS Holdings Corp   1,487 
 771,700      Guanghui Energy Co Ltd   323 
 886,364   *  Gulf International Services QSC   386 
 260,998   *,e  Gulfport Energy Corp   138 
 145,570      Hafnia Ltd   221 
 1,680,392      Halliburton Co   20,249 
64

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES       COMPANY  VALUE
(000)
 
 671      Hankook Shell Oil Co Ltd  $135 
 249,639   *  Helix Energy Solutions Group, Inc   602 
 70,135      Helmerich & Payne, Inc   1,027 
 612,222      Hess Corp   25,058 
 307,626      Hindustan Petroleum Corp Ltd   753 
 58,046      HollyFrontier Corp   1,144 
 160,517      Hunting plc   267 
 1,908,340   *,e  Hurricane Energy plc   91 
 386,259      Husky Energy, Inc   893 
 158,410   e  Idemitsu Kosan Co Ltd   3,382 
 166,764      Imperial Oil Ltd   1,996 
 1,074,453      Indian Oil Corp Ltd   1,077 
 1,256,700      Inner Mongolia Yitai Coal Co   866 
 1,055,324      Inpex Holdings, Inc   5,663 
 399,618   e  Inter Pipeline Ltd   3,922 
 93,603   e  International Seaways, Inc   1,368 
 12,989,793      IRPC PCL (Foreign)   791 
 85,950      Itochu Enex Co Ltd   794 
 36,477   e  Japan Petroleum Exploration Co   567 
 766,945      John Wood Group plc   2,106 
 2,470,180      JX Holdings, Inc   8,813 
 241,603   e  Keyera Corp   3,647 
 2,624,020      Kinder Morgan, Inc   32,354 
 65,676      Koninklijke Vopak NV   3,701 
 835,483      Kosmos Energy Ltd   815 
 98,256   e  Liberty Oilfield Services, Inc   785 
 401,440      LUKOIL PJSC (ADR)   23,047 
 1,068,910   *,e  Lundin Petroleum AB   21,197 
 474,236   *  Magnolia Oil & Gas Corp   2,452 
 815,050      Marathon Oil Corp   3,334 
 673,442      Marathon Petroleum Corp   19,759 
 26,260      Mari Petroleum Co Ltd   216 
 177,062   *,e  Matador Resources Co   1,463 
 143,702   *,e  Matrix Service Co   1,200 
 956,370   *,e  MEG Energy Corp   1,990 
 31,800      Mitsuuroko Co Ltd   409 
 22,230      Modec, Inc   346 
 236,752   e  MOL Hungarian Oil & Gas plc   1,289 
 21,681   *,e  Montage Resources Corp   95 
 40,463      Motor Oil Hellas Corinth Refineries S.A.   477 
 19,131      Murphy Oil Corp   171 
 12,991   e  Nabors Industries Ltd   317 
 48,055      Naphtha Israel Petroleum Corp Ltd   183 
 41,449   *,e  National Energy Services Reunited Corp   264 
 647,458      National Oilwell Varco, Inc   5,866 
 897,322   e  Neste Oil Oyj   47,253 
 467,609   e  New Hope Corp Ltd   436 
 161,756   *  Newpark Resources, Inc   170 
 351,574   *,e  NexGen Energy Ltd   610 
 10,105   *,e  NextDecade Corp   30 
 862,717   *  NexTier Oilfield Solutions, Inc   1,596 
 180,863      Noble Energy, Inc   1,546 
 220,815      Nordic American Tankers Ltd   771 
 88,824      Novatek PJSC (GDR)   12,169 
65

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES       COMPANY  VALUE
(000)
 
 295,963      Occidental Petroleum Corp  $2,963 
 69,001   e  Ocean Yield ASA   166 
 328,221   *,e  Oceaneering International, Inc   1,155 
 672,500      Offshore Oil Engineering Co Ltd   447 
 660,490      Oil & Gas Development Co Ltd   412 
 205,282      Oil India Ltd   250 
 1,983,750      Oil Refineries Ltd   353 
 1,837,750      Oil Search Ltd   3,515 
 118,017   *  Oil States International, Inc   322 
 40,780      OMV AG.   1,116 
 633,625      ONEOK, Inc   16,462 
 1,639,683      Origin Energy Ltd   5,078 
 116,387   *  Overseas Shipholding Group, Inc   249 
 107,712      Pakistan Oilfields Ltd   273 
 544,386      Pakistan Petroleum Ltd   302 
 193,198      Pakistan State Oil Co Ltd   233 
 83,609   *,e  Par Pacific Holdings, Inc   566 
 246,674   *  Parex Resources, Inc   2,599 
 504,512   e  Parkland Corp   13,341 
 7,219,689      Parsley Energy, Inc   67,576 
 86,464      Pason Systems, Inc   343 
 672,589      Patterson-UTI Energy, Inc   1,917 
 11,004      Paz Oil Co Ltd   863 
 225,740      PBF Energy, Inc   1,284 
 175,359   *  PDC Energy, Inc   2,174 
 122,694      Peabody Energy Corp   282 
 511,892   e  Pembina Pipeline Income Fund   10,864 
 25,934   *,e  Penn Virginia Corp   255 
 100,081   *  Petro Rio S.A.   622 
 274,904   e  Petrofac Ltd   395 
 3,611,602      Petroleo Brasileiro S.A.   12,714 
 6,585,040      Petroleo Brasileiro S.A. (Preference)   22,994 
 2,722,100      Petron   171 
 312,359      Petronas Dagangan BHD   1,485 
 309,884      Petronet LNG Ltd   928 
 180,996   e  Peyto Exploration & Development Corp   338 
 1,048,803   e  Phillips 66   54,370 
 322,471      Pilipinas Shell Petroleum Corp   108 
 1,182,232      Pioneer Natural Resources Co   101,660 
 987,205      Polish Oil & Gas Co   1,292 
 157,721      Polski Koncern Naftowy Orlen S.A.   1,872 
 100,100   *,†  Poseidon Concepts Corp   1 
 229,911   e  PrairieSky Royalty Ltd   1,435 
 808,200      Prima Marine PCL   236 
 547   *,e  PrimeEnergy Corp   36 
 230,875   *  ProPetro Holding Corp   937 
 364,700      PT Indo Tambangraya Megah   201 
 6,950,392   *  PT Medco Energi Internasional Tbk   159 
 7,421,600   *  PT Pelayaran Tamarin Samudra Tbk   26 
 3,199,728      PT Tambang Batubara Bukit Asam Tbk   427 
 9,184,306      PT United Tractors Tbk   14,111 
 1,393,821      PTT Exploration & Production PCL (Foreign)   3,487 
 11,152,350      PTT PCL (Foreign)   11,477 
 252,040      Qatar Fuel QSC   1,228 
66

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES       COMPANY  VALUE
(000)
 
 122,538   *  Rabigh Refining & Petrochemical Co  $511 
 2,047,262   e  Range Resources Corp   13,553 
 5,600,547      Reliance Industries Ltd   169,853 
 139,196   *  Renewable Energy Group, Inc   7,436 
 346,024      Repsol YPF S.A.   2,338 
 9,782   *  Rex American Resources Corp   642 
 709,991   *  Rosneft Oil Co PJSC (GDR)   3,491 
 3,451,500      Royal Dutch Shell plc (A Shares)   43,086 
 4,590,550      Royal Dutch Shell plc (B Shares)   55,670 
 87,799   *  RPC, Inc   232 
 727,148   e  Saipem S.p.A   1,251 
 64,052      San-Ai Oil Co Ltd   613 
 2,205,972      Santos Ltd   7,800 
 7,400,900      Sapurakencana Petroleum BHD   179 
 642,251   e  Saras S.p.A.   335 
 288,587   *,e  Sasol Ltd   2,219 
 2,124,755   g  Saudi Arabian Oil Co   20,349 
 177,085      SBM Offshore NV   2,825 
 2,310,811      Schlumberger Ltd   35,956 
 24,695      Schoeller-Bleckmann Oilfield Equipment AG.   657 
 151,123   e  Scorpio Tankers, Inc   1,673 
 30,784   *  SEACOR Holdings, Inc   895 
 102,843   *  Select Energy Services, Inc   395 
 886,400      Semirara Mining & Power Corp   183 
 7,419,251      Serba Dinamik Holdings BHD   2,943 
 196,923   e  Serica Energy plc   243 
 50   *,†  Serval Integrated Energy Services    0 
 309,743   *  Seven Generations Energy Ltd   835 
 149,378   e  SFL Corp Ltd   1,119 
 713,155      Shaanxi Coal Industry Co Ltd   882 
 408,836      Shanxi Lu’an Environmental Energy Development Co Ltd   368 
 343,200   *  Shanxi Meijin Energy Co Ltd   306 
 592,800      Shanxi Xishan Coal & Electricity Power Co Ltd   380 
 88,584      Shinko Plantech Co Ltd   1,107 
 771,672      Siamgas & Petrochemicals PCL   211 
 9,400      Sinanen Co Ltd   285 
 878,000      Sinopec Kantons Holdings Ltd   311 
 54,231      SK Energy Co Ltd   6,427 
 2,440      SK Gas Co Ltd   203 
 273,224      SM Energy Co   434 
 48,929      S-Oil Corp   2,149 
 51,309      Solaris Oilfield Infrastructure, Inc   325 
 963,406   *  Southwestern Energy Co   2,264 
 1,614,820      Star Petroleum Refining PCL   283 
 671,848   e  Stobart Group Ltd   170 
 248,007   e  Subsea 7 S.A.   1,783 
 1,485,374      Suncor Energy, Inc   18,138 
 1,383,949      Surgutneftegaz (ADR) (London)   6,152 
 60,707   *,e  Talos Energy, Inc   392 
 384,531      Targa Resources Investments, Inc   5,395 
 233,399      Tatneft PJSC (ADR)   8,235 
 1,121,677      TC Energy Corp   47,089 
 2,566      TechnipFMC plc   16 
67

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES       COMPANY  VALUE
(000)
 
 41,424   *  Tecnicas Reunidas S.A.  $443 
 198,880   *,e  Tellurian, Inc   158 
 62,763      Tenaris S.A.   313 
 74,243   *  Tervita Corp   145 
 131,064      TGS Nopec Geophysical Co ASA   1,599 
 1,220,055      Thai Oil PCL (Foreign)   1,238 
 78,543   *  Tidewater, Inc   527 
 33,676   e  TORM plc   229 
 2,316,022   *,e  Total S.A.   79,538 
 343,415      Tourmaline Oil Corp   4,196 
 69,311   e  Transportadora de Gas del Sur S.A. (ADR) (Class B)   288 
 1,583,315   e  Tullow Oil plc   310 
 70,046      Tupras Turkiye Petrol Rafine   719 
 712,888      Ultrapar Participacoes S.A.   2,446 
 2,774,962   *  UMW Oil & Gas Corp BHD   87 
 571,061   *,e  Uranium Energy Corp   569 
 140,305   e  US Silica Holdings, Inc   421 
 1,794,509      Valero Energy Corp   77,738 
 24,851      Verbio AG.   542 
 346,351   e  Vermilion Energy, Inc   809 
 1,175,270   g  Viva Energy Group Ltd   1,361 
 178,160   *,e  W&T Offshore, Inc   321 
 99,690   e  Washington H Soul Pattinson & Co Ltd   1,693 
 803   *  Weatherford International Ltd   2 
 445,816   e  Whitecap Resources, Inc   810 
 925,530      Whitehaven Coal Ltd   701 
 5,890   *  Whiting Petroleum Corp   102 
 1,881,417      Williams Cos, Inc   36,970 
 1,052,000      Wison Engineering Services Co Ltd   109 
 905,122      Woodside Petroleum Ltd   11,488 
 189,210      World Fuel Services Corp   4,009 
 377,547      Worley Ltd   2,631 
 1,718,745   *  WPX Energy, Inc   8,422 
 111,200      Yantai Jereh Oilfield Services Group Co Ltd   489 
 1,891,477      Yanzhou Coal Mining Co Ltd   1,413 
 239,300      Yanzhou Coal Mining Co Ltd (Class A)   327 
 577,000      Yinson Holdings BHD   778 
 201,000      YPF S.A. (ADR) (Class D)   718 
 548,380      Z Energy Ltd   999 
        TOTAL ENERGY   2,532,861 
              
FOOD & STAPLES RETAILING - 1.5%        
 25,113   *  111, Inc (ADR)   156 
 43,149      Abdullah Al Othaim Markets Co   1,493 
 549,317      Aeon Co Ltd   14,777 
 24,100   *  Aeon Hokkaido Corp   200 
 27,683      Ain Pharmaciez Inc   1,939 
 186,537      Al Meera Consumer Goods Co   1,010 
 65,546   *,e  Albertsons Cos, Inc   908 
 1,390,647      Alimentation Couche Tard, Inc   48,428 
 179,629      Andersons, Inc   3,444 
 43,479      Arcs Co Ltd   1,116 
 373,455      Atacadao Distribuicao Comercio e Industria Ltd   1,363 
 171,575   *,g  Avenue Supermarts Ltd   5,129 
68

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES       COMPANY  VALUE
(000)
 
 251,077      Axfood AB  $5,751 
 17,955      Axial Retailing, Inc   843 
 11,200      Belc Co Ltd   828 
 1,220,985      Berli Jucker PCL   1,423 
 3,582      BGF retail Co Ltd   379 
 322,130      Bid Corp Ltd   4,956 
 426,803      BIM Birlesik Magazalar AS   3,827 
 1,223,567      Carrefour S.A.   19,552 
 54,139   e  Casey’s General Stores, Inc   9,618 
 48,379   *,e  Casino Guichard Perrachon S.A.   1,174 
 13,751      Cawachi Ltd   382 
 1,291,779      Centros Comerciales Sudamericanos S.A.   1,892 
 47,173   *  Chefs’ Warehouse Holdings, Inc   686 
 3,965,161      Cia Brasileira de Distribuicao   49,241 
 121,928      Clicks Group Ltd   1,618 
 59,060      Cocokara Fine Holdings, Inc   3,822 
 1,235,382      Coles Group Ltd   15,050 
 7,360      Colruyt S.A.   478 
 1,489,063      Cosco Capital, Inc   157 
 13,900      Cosmos Pharmaceutical Corp   2,422 
 1,066,974      Costco Wholesale Corp   378,776 
 5,453,729      CP Seven Eleven PCL (Foreign)   10,401 
 31,100      Create SD Holdings Co Ltd   1,091 
 5,118      Daikokutenbussaan Co Ltd   287 
 641,700      Dairy Farm International Holdings Ltd   2,425 
 355,923   *,g  Dino Polska S.A.   20,937 
 279,488   e,g  Dis-Chem Pharmacies Ltd   287 
 6,465,416   *,e  Distribuidora Internacional de Alimentacion S.A.   806 
 27,151      Dongsuh Co, Inc   689 
 33,199      E-Mart Co Ltd   4,011 
 159,188      Empire Co Ltd   4,621 
 79,898      Eurocash S.A.   297 
 14,100   e  FamilyMart Co Ltd   318 
 11,900      G-7 Holdings, Inc   291 
 8,600   e  Genky DrugStores Co Ltd   308 
 123,577      George Weston Ltd   9,087 
 101,697   *  Grocery Outlet Holding Corp   3,999 
 302,087      Grupo Comercial Chedraui S.a. DE C.V.   331 
 14,134      GS Retail Co Ltd   405 
 9,000      Halows Co Ltd   355 
 32,958      Heiwado Co Ltd   712 
 59,191   *,e  HF Foods Group Inc   391 
 39,131      Hyundai Greenfood Co Ltd   248 
 92,818   e  ICA Gruppen AB   4,715 
 22,757      Ingles Markets, Inc (Class A)   866 
 5,570      Itochu-Shokuhin Co Ltd   299 
 916,851      J Sainsbury plc   2,257 
 12,000   e  Japan Meat Co Ltd   322 
 748,449      Jeronimo Martins SGPS S.A.   12,035 
 16,300   e  Kansai Super Market Ltd   211 
 24,623      Kato Sangyo Co Ltd   883 
 532,168   e  Kesko Oyj (B Shares)   13,711 
 43,000   e  Kobe Bussan Co Ltd   2,368 
 908,073      Koninklijke Ahold Delhaize NV   26,841 
69

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES       COMPANY  VALUE
(000)
 
 1,220,930      Kroger Co  $41,402 
 18,834      Kusuri no Aoki Holdings Co Ltd   1,533 
 474,481   e  La Comer SAB de C.V.   750 
 12,600      Laobaixing Pharmacy Chain JSC   154 
 34,551      Lawson, Inc   1,648 
 18,096      Life Corp   835 
 166,535      Loblaw Cos Ltd   8,721 
 980,339   *  Magnit PJSC (GDR)   14,627 
 43,457      MARR S.p.A.   698 
 104,742   e  Massmart Holdings Ltd   197 
 84,994      Matsumotokiyoshi Holdings Co Ltd   3,099 
 12,400   *  Maxvalu Tokai Co Ltd   300 
 1,225,629      Metcash Ltd   2,435 
 22,838      Metro Wholesale & Food Specialist AG.   227 
 235,236   e  Metro, Inc   11,287 
 147,273   *  Migros Ticaret AS   786 
 14,900      Ministop Co Ltd   209 
 17,770   e  Natural Grocers by Vitamin C   175 
 13,200      Nihon Chouzai Co Ltd   214 
 53,958   e  North West Co, Inc   1,475 
 25,362      Okuwa Co Ltd   362 
 336,115   *  Performance Food Group Co   11,636 
 328,013      Pick’n Pay Stores Ltd   919 
 283,722      President Chain Store Corp   2,583 
 35,595      Pricesmart, Inc   2,365 
 1,090,490      Puregold Price Club, Inc   1,105 
 25,900      Qol Co Ltd   298 
 1,029,980      Raia Drogasil S.A.   4,295 
 28,360   *,e  Rallye S.A.   116 
 9,292      Rami Levi Chain Stores Hashikma Marketing Ltd   639 
 23,712      Retail Partners Co Ltd   396 
 175,911   *,e  Rite Aid Corp   1,669 
 469,600      Robinsons Retail Holdings, Inc   631 
 19,741      Ryoshoku Ltd   520 
 19,700      San-A Co Ltd   868 
 740,377      Seven & I Holdings Co Ltd   23,004 
 2,171,410      Sheng Siong Group Ltd   2,567 
 11,411   e  Shoei Foods Corp   472 
 469,254   e  Shoprite Holdings Ltd   3,828 
 200,713      Shufersal Ltd   1,569 
 2,269,062      SMU S.A.   337 
 1,740,838   *  Sok Marketler Ticaret AS.   2,689 
 936,370      Sonae SPGS S.A.   635 
 103,555      Spar Group Ltd   1,173 
 165,341      SpartanNash Co   2,703 
 181,848   *  Sprouts Farmers Market, Inc   3,806 
 38,696      Sugi Pharmacy Co Ltd   2,736 
 1,229,628      Sun Art Retail Group Ltd   1,365 
 146,064      Sundrug Co Ltd   5,506 
 737,332      SYSCO Corp   45,877 
 454,000      Taiwan TEA Corp   265 
 23,899,997      Tesco plc   65,565 
 54,967      Tsuruha Holdings, Inc   7,793 
 223,653   *,e  United Natural Foods, Inc   3,326 
70

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES       COMPANY  VALUE
(000)
 
 59,450   e  United Super Markets Holdings, Inc  $717 
 315,768   *,e  US Foods Holding Corp   7,016 
 37,894      Valor Co Ltd   1,049 
 16,311      Village Super Market (Class A)   401 
 830,891      Walgreens Boots Alliance, Inc   29,846 
 13,846,350   e  Wal-Mart de Mexico SAB de C.V.   33,220 
 3,785,629      Walmart, Inc   529,647 
 15,199   e  Weis Markets, Inc   730 
 86,060      Welcia Holdings Co Ltd   3,774 
 319,653      WM Morrison Supermarkets plc   702 
 1,255,073      Woolworths Ltd   32,819 
 64,488   *  X5 Retail Group NV (GDR)   2,386 
 13,300      YAKUODO Holdings Co Ltd   334 
 20,100      Yaoko Co Ltd   1,493 
 19,100      Yifeng Pharmacy Chain Co Ltd   279 
 49,900      Yokohama Reito Co Ltd   433 
 278,200      Yonghui Superstores Co Ltd   321 
 134,617   *,e  Zur Rose Group AG.   32,094 
        TOTAL FOOD & STAPLES RETAILING   1,681,294 
              
FOOD, BEVERAGE & TOBACCO - 3.6%        
 864,071   *  a2 Milk Co Ltd   8,794 
 197,855      AAK AB   3,682 
 102,781   *  Adecoagro S.A.   480 
 120,149   e  AG. Barr plc   755 
 13,236      Agrana Beteiligungs AG.   254 
 948,595      Ajinomoto Co, Inc   19,441 
 7,532      Alico, Inc   216 
 234,141      Almarai Co JSC   3,311 
 2,852,138      Altria Group, Inc   110,207 
 4,565,730      AMBEV S.A.   10,195 
 6,914,655      Anadolu Efes Biracilik Ve Malt Sanayii AS   18,460 
 21,800      Angel Yeast Co Ltd   196 
 764,425      Anheuser-Busch InBev S.A.   41,157 
 116,500      Anhui Gujing Distillery Co Ltd   1,297 
 13,300      Anhui Gujing Distillery Co Ltd (Class A)   425 
 21,700      Anhui Kouzi Distillery Co Ltd   162 
 780,723      Archer-Daniels-Midland Co   36,296 
 20,172      Ariake Japan Co Ltd   1,369 
 1,120,054   *,e  Aryzta AG.   735 
 345,764      Asahi Breweries Ltd   12,051 
 945,125      Associated British Foods plc   22,754 
 37,108      Astral Foods Ltd   291 
 4,042,023   e  Ausnutria Dairy Corp Ltd   6,444 
 106,678      Austevoll Seafood ASA   889 
 342,827   *,e  Australian Agricultural Co Ltd   266 
 32,104      Avanti Feeds Ltd   217 
 301,538      AVI Ltd   1,338 
 96,156   e  B&G Foods, Inc (Class A)   2,670 
 55,772   e  Bakkafrost P   3,598 
 165,384   g  Bakkavor Group plc   144 
 894,263      Baladna   540 
 122,212      Balrampur Chini Mills Ltd   258 
 2,816      Barry Callebaut AG.   6,272 
71

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES       COMPANY  VALUE
(000)
 
 454,418      Becle SAB de C.V.  $927 
 229,076   e  Bega Cheese Ltd   837 
 142,300      Beijing Dabeinong Technology Group Co Ltd   187 
 20,300      Beijing Shunxin Agriculture Co Ltd   180 
 123,900      Beijing Yanjing Brewery Co Ltd   154 
 4,455      Bell AG.   1,144 
 76,857   *,e  Beyond Meat, Inc   12,763 
 4,938      Binggrae Co Ltd   250 
 253,314      Biostime International Holdings Ltd   1,095 
 18,384      Bonduelle S.C.A.   426 
 13,823   *,e  Boston Beer Co, Inc (Class A)   12,211 
 554,286   *  BRF S.A.   1,814 
 1,749   *  Bridgford Foods Corp   32 
 55,306      Britannia Industries Ltd   2,854 
 130,700      British American Tobacco Malaysia BHD   316 
 3,572,969      British American Tobacco plc   128,167 
 295,692      Britvic plc   3,133 
 65,497      Brown-Forman Corp (Class A)   4,498 
 258,426      Brown-Forman Corp (Class B)   19,465 
 1,105,200   *,e  Bubs Australia Ltd   588 
 5,717,929   g  Budweiser Brewing Co APAC Ltd   16,724 
 412,900   e  Bumitama Agri Ltd   147 
 260,251      Bunge Ltd   11,893 
 644,762      C&C Group plc   1,630 
 22,823      Calavo Growers, Inc   1,512 
 66,704      Calbee, Inc   2,197 
 43,166   *  Cal-Maine Foods, Inc   1,656 
 98,367      Camil Alimentos S.A.   218 
 256,086   e  Campbell Soup Co   12,387 
 143,692      Carlsberg AS (Class B)   19,358 
 132,352      Carlsberg Brewery-Malay BHD   661 
 55,690      CCL Products India Ltd   202 
 151,998   *,e  Celsius Holdings, Inc   3,452 
 27,900      Chacha Food Co Ltd   238 
 146,279      Charoen Pokphand Enterprise   336 
 1,886,246      Charoen Pokphand Foods PCL   1,672 
 1,023,335   e,g  China Feihe Ltd   2,392 
 4,375,889   *,†,e  China Huishan Dairy Holdings Co Ltd   6 
 370,000   *,†  China Huiyuan Juice Group Ltd    0^
 3,087,146      China Mengniu Dairy Co Ltd   14,561 
 1,678,000   *,e  China Modern Dairy Holdings   224 
 2,373,629      China Resources Beer Holdings Company Ltd   14,579 
 9,700      Chongqing Brewery Co Ltd   147 
 25,300      Chongqing Fuling Zhacai Group Co Ltd   176 
 22,307   e  Chubu Shiryo Co Ltd   375 
 153,593      Cia Cervecerias Unidas S.A.   992 
 3,895      CJ CheilJedang Corp   1,315 
 241,892      Cloetta AB   700 
 469,460      Coca-Cola Amatil Ltd   3,213 
 7,614,282      Coca-Cola Co   375,917 
 7,502      Coca-Cola Consolidated Inc   1,806 
 246,269   e  Coca-Cola European Partners plc (Class A)   9,558 
 544,791   e  Coca-Cola Femsa SAB de C.V.   2,222 
 427,012      Coca-Cola HBC AG.   10,544 
72

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES       COMPANY  VALUE
(000)
 
 134,106      Coca-Cola Icecek AS  $778 
 99,150      Coca-Cola West Japan Co Ltd   1,660 
 11,120,825      Cofco International Ltd   3,641 
 2,236,000   e  COFCO Meat Holdings Ltd   778 
 1,272,185      ConAgra Brands, Inc   45,430 
 272,423      Constellation Brands, Inc (Class A)   51,627 
 13,293      Corby Spirit and Wine Ltd   157 
 406,027      Costa Group Holdings Ltd   984 
 15,822   *  Craft Brewers Alliance, Inc   261 
 57,983      Cranswick plc   2,713 
 18,717      Daesang Corp   416 
 1,102,500   g  Dali Foods Group Co Ltd   675 
 735,882      Danone   47,667 
 409,594   *  Darling International, Inc   14,758 
 3,765,400      Davide Campari-Milano NV   41,097 
 2,854,598      Diageo plc   98,052 
 1,127      Dongwon F&B Co Ltd   165 
 1,213      Dongwon Industries Co Ltd   216 
 10,200   e  Dydo Drinco, Inc   518 
 581,725      Eastern Tobacco   445 
 77,912      Ebro Puleva S.A.   1,814 
 347,500      Embotelladora Andina S.A.   768 
 410,922   e  Embotelladoras Arca SAB de C.V.   1,780 
 3,390      Emmi AG.   3,387 
 49,615      Ezaki Glico Co Ltd   2,219 
 22,204   *,e  Farmer Bros Co   98 
 24,307      Feed One Co Ltd   215 
 5,487,200      Felda Global Ventures Holdings BHD   1,524 
 1,326,526      Fevertree Drinks plc   39,643 
 630,100      First Resources Ltd   561 
 278,604      Flowers Foods, Inc   6,778 
 1,887,719      Fomento Economico Mexicano S.A. de C.V.   10,637 
 556,200      Fomento Economico Mexicano SAB de C.V. (ADR)   31,253 
 41,925      ForFarmers NV   257 
 81,520      Foshan Haitian Flavouring & Food Co Ltd   1,948 
 128,797      Fraser & Neave Holdings BHD   997 
 74,371   †,e  Freedom Foods Group Ltd   120 
 48,954      Fresh Del Monte Produce, Inc   1,122 
 193,719   *  Freshpet, Inc   21,629 
 57,627      Fuji Oil Co Ltd   1,814 
 38,900      Fujian Sunner Development Co Ltd   125 
 21,432      Fujicco Co Ltd   424 
 11,782      Fujiya Co Ltd   270 
 417,607      Futuris Corp Ltd   3,260 
 897,012      General Mills, Inc   55,328 
 208,774      Genting Plantations BHD   498 
 432,900      GFPT PCL (Foreign)   169 
 229,970      Glanbia plc   2,375 
 12,757      Godfrey Phillips India Ltd   160 
 6,816,325      Golden Agri-Resources Ltd   713 
 257,649   *  GrainCorp Ltd-A   698 
 559,107      Great Wall Enterprise Co   819 
 521,597      Greencore Group plc   660 
 56,323      Grieg Seafood ASA   515 
73

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES       COMPANY  VALUE
(000)
 
 205,371      Gruma SAB de C.V.  $2,276 
 1,501,113      Grupo Bimbo S.A. de C.V. (Series A)   2,809 
 197,856   e  Grupo Herdez SAB de C.V.   358 
 294,200      Guan Chong Bhd   235 
 46,600      Guangdong Haid Group Co Ltd   421 
 117,687   *  Hain Celestial Group, Inc   4,037 
 58,400      Heilongjiang Agriculture Co Ltd   159 
 105,322      Heineken Holding NV   8,208 
 271,834      Heineken NV   24,201 
 80,800      Henan Shuanghui Investment & Development Co Ltd   630 
 323,108      Hershey Co   46,314 
 24,000      Hokuto Corp   512 
 392,958      Hormel Foods Corp   19,212 
 272,154   *  Hostess Brands, Inc   3,356 
 52,242   e  Hotel Chocolat Group Ltd   239 
 67,462      House Foods Corp   2,398 
 882,314      Imperial Tobacco Group plc   15,585 
 1,137,030      Indofood CBP Sukses Makmur Tbk   771 
 355,003      Inghams Group Ltd   762 
 130,470   e  Ingredion, Inc   9,874 
 196,100      Inner Mongolia Yili Industrial Group Co Ltd   1,113 
 1,175,797      IOI Corp BHD   1,264 
 2,381,144      ITC Ltd   5,563 
 36,929      Ito En Ltd   2,634 
 167,700      Itoham Yonekyu Holdings, Inc   1,202 
 21,351      J&J Snack Foods Corp   2,784 
 155,720      J.M. Smucker Co   17,989 
 1,194,619      Japan Tobacco, Inc   21,794 
 1,329,742      Japfa Ltd   588 
 1,046,897      JBS S.A.   3,853 
 27,307      Jeil Holdings Co Ltd   153 
 45,100      Jiangsu King’s Luck Brewery JSC Ltd   295 
 50,500      Jiangsu Yanghe Brewery Joint-Stock Co Ltd   930 
 59,100      Jiangxi Zhengbang Technology Co Ltd   158 
 30,157      Jinro Ltd   933 
 34,901      John B. Sanfilippo & Son, Inc   2,631 
 10,273      J-Oil Mills, Inc   385 
 20,900      Jonjee Hi-Tech Industrial And Commercial Holding Co Ltd   202 
 16,900      Juewei Food Co Ltd   204 
 390,493      Juhayna Food Industries   157 
 89,146      Kagome Co Ltd   3,116 
 13,800      Kameda Seika Co Ltd   708 
 36,495      Kaveri Seed Co Ltd   264 
 361,197      Kellogg Co   23,330 
 11,900      Kenko Mayonnaise Co Ltd   208 
 241,742      Kerry Group plc (Class A)   30,964 
 2,377,815      Keurig Dr Pepper, Inc   65,628 
 20,300      KEY Coffee, Inc   427 
 1,561,500      Khon Kaen Sugar Industry PCL   109 
 129,280   e  Kikkoman Corp   7,172 
 762,004      Kirin Brewery Co Ltd   14,312 
 44,480      Kotobuki Spirits Co Ltd   2,288 
 914,359      Kraft Heinz Co   27,385 
74

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES       COMPANY  VALUE
(000)
 
 43,859      KRBL Ltd  $173 
 59,776      KT&G Corp   4,222 
 207,290      Kuala Lumpur Kepong BHD   1,136 
 89,753      Kweichow Moutai Co Ltd   22,074 
 13,026      KWS Saat AG.   1,100 
 12,157      La Doria S.p.A   159 
 263,876      Lamb Weston Holdings, Inc   17,487 
 19,112      Lancaster Colony Corp   3,417 
 44,437   *  Landec Corp   432 
 3,492      Lassonde Industries, Inc   379 
 1,151,500      Leong Hup International BHD   198 
 339,472      Leroy Seafood Group ASA   1,949 
 740,369      Lien Hwa Industrial Corp   1,022 
 24,132   e  Limoneira Co   345 
 1,021   e  Lindt & Spruengli AG.   8,618 
 96      Lindt & Spruengli AG. (Registered)   8,553 
 3,450      Lotte Chilsung Beverage Co Ltd   265 
 1,652      Lotte Confectionery Co Ltd   143 
 360      Lotte Samkang Co Ltd   93 
 83,760      Luzhou Laojiao Co Ltd   1,774 
 79,339      M Dias Branco S.A.   483 
 8,853      Maeil Dairies Co Ltd   512 
 88,090      Maple Leaf Foods, Inc   1,796 
 374,199   *  Marfrig Global Foods S.A.   1,016 
 19,300      Marudai Food Co Ltd   319 
 42,400      Maruha Nichiro Corp   973 
 179,873      McCormick & Co, Inc   34,913 
 49,687      Megmilk Snow Brand Co Ltd   1,203 
 98,014      MEIJI Holdings Co Ltd   7,487 
 40,792      MGP Ingredients, Inc   1,621 
 244,428   *  Minerva S.A.   511 
 17,500      Mitsui Sugar Co Ltd   324 
 235,405      Molson Coors Brewing Co (Class B)   7,900 
 4,676,901      Mondelez International, Inc   268,688 
 1,754,678   *  Monster Beverage Corp   140,725 
 43,579      Morinaga & Co Ltd   1,720 
 41,713      Morinaga Milk Industry Co Ltd   2,200 
 409,836   e  Mowi ASA   7,292 
 181,866      Muyuan Foodstuff Co Ltd   1,984 
 12,113      Nagatanien Co Ltd   286 
 145,000      Namchow Chemical Industrial Ltd   211 
 49,313   *  National Agriculture Development Co   421 
 10,716   e  National Beverage Corp   729 
 44,700   *  Naturecell Co Ltd   375 
 22,907      Nestle India Ltd   4,944 
 69,300      Nestle Malaysia BHD   2,359 
 3,940,023      Nestle S.A.   468,910 
 121,700      New Hope Liuhe Co Ltd   497 
 120,749   *  NewAge, Inc   209 
 124,192      Nichirei Corp   3,284 
 10,297      Nippon Beet Sugar Manufacturing Co Ltd   182 
 53,297      Nippon Flour Mills Co Ltd   878 
 63,760      Nippon Meat Packers, Inc   2,850 
 315,459      Nippon Suisan Kaisha Ltd   1,343 
75

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES       COMPANY  VALUE
(000)
 
 28,522      Nisshin Oillio Group Ltd  $861 
 180,747      Nisshin Seifun Group, Inc   2,869 
 100,633      Nissin Food Products Co Ltd   9,454 
 361,568      Nissin Foods Co Ltd   379 
 2,782      Nong Shim Co Ltd   746 
 1,852      Nong Shim Holdings Co Ltd   118 
 14,700      Norway Royal Salmon ASA   337 
 79,642      Oceana Group Ltd   295 
 141,583   e  Origin Enterprises plc   555 
 19,684      Orion Corp   204 
 11,238      Orion Corp/Republic of Korea   1,259 
 6,881      Orior AG.   551 
 767,565      Orkla ASA   7,747 
 778,100      Osotspa PCL   862 
 604      Ottogi Corp   294 
 3,203,743      PepsiCo, Inc   444,039 
 203,442      Pernod-Ricard S.A.   32,436 
 4,123,987      Philip Morris International, Inc   309,258 
 73,749   *  Pilgrim’s Pride Corp   1,104 
 93,199   *  Post Holdings, Inc   8,015 
 294,449      PPB Group BHD   1,348 
 683,401   *  Premier Foods plc   816 
 36,975   e  Premium Brands Holdings Corp   2,792 
 76,338      Prima Meat Packers Ltd   2,354 
 386,110   e  Primo Water Corp   5,483 
 157,380      Primo Water Corp (Toronto)   2,235 
 415,800      PT Astra Agro Lestari Tbk   286 
 6,928,618      PT Charoen Pokphand Indonesia Tbk   2,652 
 242,211      PT Gudang Garam Tbk   653 
 4,750,300      PT Hanjaya Mandala Sampoerna Tbk   449 
 5,305,991      PT Indofood Sukses Makmur Tbk   2,559 
 9,135,000   *,†  PT Inti Agri Resources Tbk   31 
 4,086,412      PT Japfa Comfeed Indonesia Tbk   305 
 2,772,600      PT Perusahaan Perkebunan London Sumatra Indonesia Tbk   170 
 2,978,300      PT Sawit Sumbermas Sarana Tbk   160 
 12,287      Pulmuone Co Ltd   176 
 117,197      Q.P. Corp   2,410 
 620,100      QL Resources BHD   1,465 
 50,226      Radico Khaitan Ltd   277 
 21,045      Remy Cointreau S.A.   3,841 
 23,100      Riken Vitamin Co Ltd   472 
 19,325   e  Rock Field Co Ltd   271 
 101,235   e  Rogers Sugar, Inc   364 
 14,600      Rokko Butter Co Ltd   262 
 10,104      Ros Agro plc (ADR)   97 
 106,435      Royal Unibrew A.S.   10,970 
 19,994      S Foods, Inc   558 
 674,890      Saigon Beer Alcohol Beverage Corp   5,360 
 30,555      Sakata Seed Corp   1,097 
 62,937      Salmar ASA   3,567 
 1,789      Samlip General Foods Co Ltd   94 
 2,919      Samyang Corp   136 
 2,621      Samyang Foods Co Ltd   222 
76

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES       COMPANY  VALUE
(000)
 
 3,146      Samyang Holdings Corp  $172 
 20,814      Sanderson Farms, Inc   2,455 
 171,807      Sao Martinho S.A.   666 
 70,786      Sapporo Holdings Ltd   1,273 
 228,333      Saputo, Inc   5,727 
 26,517      Saudia Dairy & Foodstuff Co   1,292 
 244,860      Savola Group   3,139 
 53,509      Scandi Standard AB   410 
 152,684   g  Scandinavian Tobacco Group A.S.   2,261 
 13,976      Schouw & Co   1,353 
 354      Seaboard Corp   1,004 
 132,196      Select Harvests Ltd   529 
 11,960   *,e  Seneca Foods Corp   427 
 26,737      Shanxi Xinghuacun Fen Wine Factory Co Ltd   781 
 19,687   e  Showa Sangyo Co Ltd   656 
 16,900      Sichuan Swellfun Co Ltd   161 
 1,016,713      Sime Darby Plantation BHD   1,238 
 254,838   *  Simply Good Foods Co   5,619 
 86,839      SLC Agricola S.A.   394 
 191,194      Standard Foods Corp   403 
 7,000      Starzen Co Ltd   277 
 59,893      Strauss Group Ltd   1,719 
 80,413      Suedzucker AG.   1,555 
 112,023      Suntory Beverage & Food Ltd   4,207 
 559,994      Swedish Match AB   45,789 
 89,081   *  Synlait Milk Ltd   324 
 177,000      Taisun Enterprise Co Ltd   129 
 156,903      Takara Holdings, Inc   1,742 
 405,100      Taokaenoi Food & Marketing PCL   132 
 265,823      Tassal Group Ltd   663 
 399,694      Tata Tea Ltd   2,712 
 520,430      Tate & Lyle plc   4,466 
 1,525,809      Thai Union Group PCL   678 
 408,469      Thai Vegetable Oil PCL (Foreign)   423 
 78,601      Tiger Brands Ltd   895 
 1,008,290      Tingyi Cayman Islands Holding Corp   1,785 
 20,000      Toly Bread Co Ltd   176 
 126,200      Tongwei Co Ltd   496 
 19,718   e  Tootsie Roll Industries, Inc   609 
 66,317      Toyo Suisan Kaisha Ltd   3,502 
 667,026      Treasury Wine Estates Ltd   4,286 
 79,795   *  TreeHouse Foods, Inc   3,234 
 397,879      Tsingtao Brewery Co Ltd   3,256 
 22,100      Tsingtao Brewery Co Ltd (Class A)   244 
 38,000      Ttet Union Corp   156 
 10,320   e  Turning Point Brands, Inc   288 
 423,383      Tyson Foods, Inc (Class A)   25,183 
 140,112   *  Ulker Biskuvi Sanayi AS   412 
 700,000      Uni-President China Holdings Ltd   642 
 3,445,053      Uni-President Enterprises Corp   7,461 
 311,337   *  United Malt Grp Ltd   922 
 138,151   *  United Spirits Ltd   967 
 37,857      Universal Corp   1,585 
 428,944      Universal Robina   1,190 
77

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES       COMPANY  VALUE
(000)
 
 66,088      Varun Beverages Ltd  $627 
 209,172      Vector Group Ltd   2,027 
 7,812      Vilmorin & Cie   457 
 396,143      Vina Concha y Toro S.A.   649 
 74,660      Viscofan S.A.   4,981 
 10,401   *  Vital Farms, Inc   422 
 866,000   e  Vitasoy International Holdings Ltd   3,377 
 2,627,714      Want Want China Holdings Ltd   1,836 
 13,732      Warabeya Nichiyo Co Ltd   204 
 248,561      Wei Chuan Food Corp   169 
 213,700      Wens Foodstuffs Group Co Ltd   615 
 12,523,000   g  WH Group Ltd   10,215 
 942,080      Wilmar International Ltd   3,059 
 484,289      Wuliangye Yibin Co Ltd   15,789 
 111,071      Yakult Honsha Co Ltd   6,167 
 93,467      Yamazaki Baking Co Ltd   1,629 
 446,000      Yihai International Holding Ltd   7,005 
 40,300      Yuan Longping High-tech Agriculture Co Ltd   109 
 542,000   g  Zhou Hei Ya International Holdings Co Ltd   568 
        TOTAL FOOD, BEVERAGE & TOBACCO   4,038,900 
              
HEALTH CARE EQUIPMENT & SERVICES - 5.3%        
 196,432   *,e  1Life Healthcare, Inc   5,571 
 3,298,299      Abbott Laboratories   358,954 
 11,159   *  Abiomed, Inc   3,092 
 102,927   *  Acadia Healthcare Co, Inc   3,034 
 8,344   *  Accolade, Inc   324 
 77,828   *  Accuray, Inc   187 
 7,109   *  Acutus Medical, Inc   212 
 21,917   *  AdaptHealth Corp   478 
 14,283   *,e  Addus HomeCare Corp   1,350 
 246,743      Advanced Medical Solutions Group plc   686 
 275,588   *  AGFA-Gevaert NV   1,149 
 792,786      Aier Eye Hospital Group Co Ltd   6,008 
 352,000   g  AK Medical Holdings Ltd   906 
 55,833   *  Al Hammadi Co for Development and Investment   432 
 1,185,458      Alcon, Inc   67,210 
 370,971      Alcon, Inc (XNYS)   21,127 
 31,590      Alfresa Holdings Corp   692 
 8,836,659   *  Alibaba Health Information Technology Ltd   21,730 
 104,793   *  Align Technology, Inc   34,305 
 52,240      Alliar Medicos A Frente S.A.   94 
 252,347   *  Allscripts Healthcare Solutions, Inc   2,054 
 35,978   *  Alphatec Holdings Inc   239 
 86,395   g  Ambea AB   582 
 152,217   e  Ambu A.S.   4,286 
 51,915   *  Amedisys, Inc   12,274 
 21,971   *  American Renal Associates Holdings, Inc   152 
 171,059      AmerisourceBergen Corp   16,579 
 77,472   *  AMN Healthcare Services, Inc   4,529 
 354,895      Amplifon S.p.A.   12,691 
 12,346      Andlauer Healthcare Group, Inc   403 
 97,780   *  Angiodynamics, Inc   1,179 
 428,324      Ansell Ltd   11,395 
78

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES       COMPANY  VALUE
(000)
 
 127,308   *,e  Antares Pharma, Inc  $344 
 619,064      Anthem, Inc   166,274 
 104,831      Apollo Hospitals Enterprise Ltd   3,055 
 15,119   *,e  Apollo Medical Holdings, Inc   271 
 41,605   *,e  Apyx Medical Corp   196 
 395,047      Arjo AB   2,446 
 30,107      As One Corp   4,313 
 61,040      Asahi Intecc Co Ltd   1,918 
 34,548      Ascom Holding AG.   479 
 162,149   *  AtriCure, Inc   6,470 
 1,059      Atrion Corp   663 
 120,531   g  Attendo AB   657 
 935,338      Australian Pharmaceutical Industries Ltd   704 
 11,300      Autobio Diagnostics Co Ltd   268 
 22,465   *,e  Avalon GloboCare Corp   28 
 75,997   *  Avanos Medical, Inc   2,525 
 35,020   *  AxoGen, Inc   407 
 27,635   *,e  Axonics Modulation Technologies, Inc   1,411 
 1,264,556      Bangkok Chain Hospital PCL   557 
 4,563,745      Bangkok Dusit Medical Services PCL (Foreign)   2,823 
 4,274,772      Baxter International, Inc   343,777 
 107,471      Becton Dickinson & Co   25,006 
 71,750      Beijing Chunlizhengda Medical Instruments Co Ltd   347 
 12,070   *,e  Beyond Air, Inc   63 
 54,295   *,e,g  Biocartis NV   287 
 19,532   *,e  BioLife Solutions Inc   565 
 27,937      BioMerieux   4,373 
 24,536   *,e  BioSig Technologies Inc   121 
 27,885   *  BioTelemetry, Inc   1,271 
 23,345      BML, Inc   705 
 13,385      Boditech Med, Inc   357 
 9,157,190   *  Boston Scientific Corp   349,896 
 382,968   *  Brookdale Senior Living, Inc   973 
 218,665      Bumrungrad Hospital PCL (Foreign)   659 
 56,354      Cantel Medical Corp   2,476 
 339,472      Cardinal Health, Inc   15,938 
 57,974   *,e  Cardiovascular Systems, Inc   2,281 
 85,349      Carl Zeiss Meditec AG.   10,780 
 17,523   e  Cellavision AB   700 
 20,950   *  CELLINK AB   475 
 51,000   *  Celltrion Healthcare Co Ltd   3,826 
 1,345,518   *  Centene Corp   78,484 
 400,173      Cerner Corp   28,929 
 138,281   *  Cerus Corp   866 
 35,705   *  CHA Bio & Diostech Co Ltd   579 
 292,707   *  Change Healthcare, Inc   4,247 
 127,264   *,e  Chembio Diagnostics, Inc   619 
 18,398      Chemed Corp   8,837 
 15,000      China National Accord Medicines Corp Ltd   102 
 25,500      China National Medicines Corp Ltd   164 
 757,000   e  China Resources Phoenix Healthcare Holdings Co Ltd   496 
 4,531,274      Chularat Hospital PCL   344 
 1,267,769      Cigna Corp   214,773 
 976,289   *  Cleopatra Hospital   310 
79

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES       COMPANY  VALUE
(000)
 
 356,000   e  C-Mer Eye Care Holdings Ltd  $261 
 143,280      Cochlear Ltd   20,470 
 180,544   *,e  Co-Diagnostics, Inc   2,454 
 120,356      Coloplast AS   19,075 
 5,413   e  Coltene Holding AG.   410 
 363,124   *,e  Community Health Systems, Inc   1,532 
 26,723      CompuGroup Medical SE & Co KgaA   2,473 
 20,640      Computer Programs & Systems, Inc   570 
 85,294      Conmed Corp   6,710 
 2,716,665   g  ConvaTec Group plc   6,258 
 8,337      Cooper Cos, Inc   2,811 
 7,016   *  Corvel Corp   599 
 258,734   *,e  Covetrus, Inc   6,313 
 67,719   e  Craneware plc   1,354 
 77,628   *  Cross Country Healthcare, Inc   504 
 44,966   *,e  CryoLife, Inc   831 
 42,645   *,e  CryoPort, Inc   2,021 
 13,299   *  Cutera, Inc   252 
 75,578      CVS Group plc   1,205 
 2,560,429      CVS Health Corp   149,529 
 123,931   *,e  CYBERDYNE, Inc   612 
 30,777   *,e  CytoSorbents Corp   245 
 29,547      Dallah Healthcare Co   372 
 1,502,139      Danaher Corp   323,456 
 123,660   *  DaVita, Inc   10,591 
 6,101      Dentium Co Ltd   179 
 345,771      Dentsply Sirona, Inc   15,121 
 354,807   *  DexCom, Inc   146,262 
 23,487      DiaSorin S.p.A.   4,725 
 8,221   *  DIO Corp   219 
 26,749   g  Dr Lal PathLabs Ltd   683 
 22,068      Draegerwerk AG.   1,919 
 3,463      Draegerwerk AG. & Co KGaA   255 
 45,811      Eckert & Ziegler Strahlen- und Medizintechnik AG.   2,344 
 492,989   *  Edwards Lifesciences Corp   39,350 
 34,100      Eiken Chemical Co Ltd   687 
 12,093      El.En. S.p.A   307 
 111,069   e  Elan Corp   2,760 
 6,307   *,e  Electromed, Inc   66 
 409,575   e  Elekta AB (B Shares)   5,147 
 37,200      EM Systems Co Ltd   308 
 64,101      EMIS Group plc   860 
 160,238      Encompass Health Corp   10,412 
 96,269      Ensign Group, Inc   5,493 
 3,034,723   *  Envista Holdings Corp   74,897 
 108,572   *,e  Enzo Biochem, Inc   229 
 232,728      Estia Health Ltd   244 
 323,251   *  Evolent Health, Inc   4,012 
 780   *,e  Exagen, Inc   8 
 163,019   e  Extendicare, Inc   653 
 67,556      Fagron NV   1,706 
 973,523      Fisher & Paykel Healthcare Corp   21,486 
 17,539   *,e  Five Star Senior Living, Inc   89 
 188,106      Fleury S.A.   887 
80

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES       COMPANY  VALUE
(000)
 
 9,392   *  FONAR Corp  $196 
 420,347   *  Fortis Healthcare Ltd   772 
 516,791      Fresenius Medical Care AG.   43,688 
 188,999      Fresenius SE   8,595 
 8,587   *,e  Fulgent Genetics, Inc   344 
 118,367   g  Galenica AG.   8,231 
 922,175   e,g  Genertec Universal Medical Group Company Limited   613 
 320,848   *,e  GenMark Diagnostics, Inc   4,556 
 461,484      Getinge AB (B Shares)   10,041 
 45,150      Ginko International Co Ltd   211 
 38,802   *,e  Glaukos Corp   1,921 
 31,961   *  Globus Medical, Inc   1,583 
 112,018      GN Store Nord   8,439 
 73,868      Green Hospital Supply, Inc   3,617 
 23,900      Guangzhou Kingmed Diagnostics Group Co Ltd   360 
 11,600      Guangzhou Wondfo Biotech Co Ltd   142 
 739,059   *  Guardant Health, Inc   82,612 
 6,455      Guerbet   207 
 8,945   *  Haemonetics Corp   780 
 56,395   *  Hanger Inc   892 
 106,000   g  Hapvida Participacoes e Investimentos S.A.   1,173 
 1,602,700      Hartalega Holdings BHD   6,277 
 674,388      HCA Healthcare, Inc   84,083 
 580,433      Healius Ltd   1,502 
 114,402   *,e  Health Catalyst, Inc   4,187 
 131,549   *,e  HealthEquity, Inc   6,758 
 52,861   *  HealthStream, Inc   1,061 
 168,224   *  Henry Schein, Inc   9,888 
 8,819   *,e  Heska Corp   871 
 53,405      Hill-Rom Holdings, Inc   4,460 
 36,523   *  HLB Life Science CO Ltd   965 
 22,640      HLS Therapeutics, Inc   238 
 229,644   *  HMS Holdings Corp   5,500 
 24,400      Hogy Medical Co Ltd   836 
 995,922   *  Hologic, Inc   66,199 
 437,546   *  Hoya Corp   49,406 
 52,800      Huadong Medicine Co Ltd   192 
 476,740      Humana, Inc   197,318 
 4,342      Huons Global Co Ltd   113 
 289,002      Ibnsina Pharma SAE   134 
 17,826   *,e  iCAD, Inc   157 
 4,317   *  ICU Medical, Inc   789 
 171,425   *  IDEXX Laboratories, Inc   67,389 
 1,022,542      IHH Healthcare BHD   1,283 
 6,542   *  Inari Medical, Inc   452 
 13,011   *  InfuSystem Holdings, Inc   167 
 17,687   *  Inmode Ltd   640 
 19,076   *  Inogen, Inc   553 
 360,810   *  Inovalon Holdings, Inc   9,543 
 33,041   *  Inspire Medical Systems, Inc   4,264 
 48,283      Instituto Hermes Pardini S.A.   195 
 89,182   *,e  Insulet Corp   21,100 
 91,183   *  Integer Holding Corp   5,381 
 15,666   *  Integra LifeSciences Holdings Corp   740 
81

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES       COMPANY  VALUE
(000)
 
 150,832      Integral Diagnostics Ltd  $455 
 14,620   *,e  IntriCon Corp   178 
 129,316   *  Intuitive Surgical, Inc   91,755 
 31,964   e  Invacare Corp   240 
 24,065   e  Ion Beam Applications   311 
 12,932   *,e  iRadimed Corp   276 
 45,089   *  iRhythm Technologies, Inc   10,736 
 350,000      IVD Medical Holding Ltd   106 
 34,610      Jafron Biomedical Co Ltd   362 
 67,200      Japan Lifeline Co Ltd   892 
 16,200      Japan Medical Dynamic Marketing, Inc   334 
 41,188      Jeol Ltd   1,420 
 55,500      Jiangsu Yuyue Medical Equipment & Supply Co Ltd   268 
 48,836   *,e  Joint Corp   849 
 29,300      Jointown Pharmaceutical Group Co Ltd   73 
 1,199,419      Koninklijke Philips Electronics NV   56,636 
 59,119      Korian-Medica   2,072 
 563,200      Kossan Rubber Industries   1,862 
 1,891,828      KPJ Healthcare BHD   387 
 150,175   *  Laboratory Corp of America Holdings   28,273 
 193,106   *  Lantheus Holdings, Inc   2,447 
 5,499      Le Noble Age   305 
 12,491      LeMaitre Vascular, Inc   406 
 55,600      Lepu Medical Technology Beijing Co Ltd   276 
 43,731   *  LHC Group, Inc   9,295 
 14,559,715      Life Healthcare Group Holdings Pte Ltd   14,801 
 2,672,000   *,e  Lifetech Scientific Corp   674 
 99,819   *  LivaNova plc   4,513 
 65,449   *  Livongo Health, Inc   9,166 
 3,728   *  Lyra Therapeutics, Inc   42 
 492,838      M3, Inc   30,485 
 68,813   *  Magellan Health Services, Inc   5,215 
 77,563      Mani, Inc   2,120 
 20,465   *  Masimo Corp   4,831 
 291,625      McKesson Corp   43,432 
 7,911   *,g  Medacta Group S.A.   741 
 4,706   *,e,g  Medartis Holding AG.   233 
 29,500   *,e  Medical Data Vision Co Ltd   614 
 127,177      Medicare Group   266 
 159,473      Mediceo Paltac Holdings Co Ltd   3,198 
 446,366      Mediclinic International plc   1,639 
 13,202   *  Medipost Co Ltd   366 
 124,589   *  MEDNAX, Inc   2,028 
 2,282,705   e  Medtronic plc   237,219 
 124,148      Meinian Onehealth Healthcare Holdings Co Ltd   259 
 31,242      Menicon Co Ltd   2,088 
 192,819   *  Meridian Bioscience, Inc   3,274 
 59,675   *  Merit Medical Systems, Inc   2,596 
 3,550      Mesa Laboratories, Inc   904 
 193,026      Metlifecare Ltd   764 
 21,721   g  Metropolis Healthcare Ltd   529 
 671,000      Microport Scientific Corp   2,683 
 33,935   *  Middle East Healthcare Co   332 
 30,534   *,e  Milestone Scientific, Inc   42 
82

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES       COMPANY  VALUE
(000)
 
 56,900   e  Miraca Holdings, Inc  $1,522 
 31,612   *,e  Misonix Inc   371 
 74,775   *,g  MLP Saglik Hizmetleri AS.   166 
 98,131   *  Molina Healthcare, Inc   17,962 
 47,370      Mouwasat Medical Services Co   1,579 
 25,236      Nagaileben Co Ltd   715 
 79,522      Nakanishi, Inc   1,421 
 287,053   *  Nanosonics Ltd   1,174 
 76,423   *,e  NantHealth, Inc   179 
 19,886      National Healthcare Corp   1,239 
 20,003      National Medical Care Co   295 
 10,956      National Research Corp   539 
 111,914   *  Natus Medical, Inc   1,917 
 6,565   *,e  Nemaura Medical, Inc   23 
 79,347   *  Neogen Corp   6,209 
 1,113,084      Network Healthcare Holdings Ltd   859 
 2,121      Neuca S.A.   277 
 165,539   *  Nevro Corp   23,060 
 122,947   *  NextGen Healthcare, Inc   1,566 
 88,677      Nihon Kohden Corp   2,917 
 54,067      Nikkiso Co Ltd   551 
 157,252      Nipro Corp   1,836 
 159,379     NMC Health plc   2 
 14,098   g  NNIT A.S.   293 
 243,900      Notre Dame Intermedica Participacoes S.A.   2,826 
 145,768   *,e  Novocure Ltd   16,225 
 76,953   *  NuVasive, Inc   3,738 
 24,514   *  Oak Street Health, Inc   1,310 
 704,081      Oceania Healthcare Ltd   536 
 241,975      Odontoprev S.A.   517 
 1,115,970      Olympus Corp   23,207 
 51,659   *  Omnicell, Inc   3,857 
 34,305   *,e  Ontrak, Inc   2,058 
 25,479   *,e  OptimizeRx Corp   531 
 337,003   *  Option Care Health, Inc   4,506 
 83,811   *  OraSure Technologies, Inc   1,020 
 130,251      Oriola-KD Oyj (B Shares)   289 
 6,871      Orpea   781 
 81,928   *  Orthofix Medical Inc   2,551 
 10,610   *,e  OrthoPediatrics Corp   487 
 9,947   *  Osstem Implant Co Ltd   329 
 17,300      Ovctek China, Inc   159 
 182,635      Owens & Minor, Inc   4,586 
 21,772      Paramount Bed Holdings Co Ltd   900 
 198,077      Patterson Cos, Inc   4,775 
 31,616   *,e  PAVmed, Inc   56 
 48,483   *,e  Pennant Group, Inc   1,870 
 5,249   *,e  Penumbra, Inc   1,020 
 38,267   *,e  PetIQ, Inc   1,260 
 233,074   *  Phreesia, Inc   7,489 
 79,000   *,†  Pihsiang Machinery Manufacturing Co Ltd    0^
 495,800   *,e,g  Ping An Healthcare and Technology Co Ltd   6,397 
 632,051   *,e  PolyNovo Ltd   1,011 
 208,910   *  PPD, Inc   7,728 
83

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES       COMPANY  VALUE
(000)
 
 70,365      Premier, Inc  $2,310 
 59,479   e  Pro Medicus Ltd   1,160 
 60,649   *,e  Progyny, Inc   1,785 
 1,921   *  Protara Therapeutics, Inc   32 
 67,187   *  Providence Service Corp   6,242 
 12,828   *,e  Pulse Biosciences, Inc   151 
 214,863      Qualicorp S.A.   1,300 
 403,718      Quest Diagnostics, Inc   46,222 
 14,391   *  Quidel Corp   3,157 
 53,650   *,e  Quotient Ltd   276 
 721,458   *  R1 RCM, Inc   12,373 
 49,727   *  RadNet, Inc   763 
 1,066,399   e  Raffles Medical Group Ltd   633 
 57,646      Ramsay Health Care Ltd   2,749 
 152,838      Regis Healthcare Ltd   115 
 21,508   *,e  Repro-Med Systems, Inc   155 
 25,155      Resmed, Inc   4,312 
 68,808   *,e  Retractable Technologies, Inc   458 
 59,897   *,e  Rockwell Medical, Inc   64 
 125,930      Ryman Healthcare Ltd   1,183 
 35,522      Sartorius AG.   14,560 
 38,567      Saudi Chemical Co   344 
 50,954   *  SeaSpine Holdings Corp   729 
 16,762   *  Sedana Medical AB   496 
 96,309      Selcuk Ecza Deposu Ticaret ve Sanayi AS   107 
 612,488   *  Select Medical Holdings Corp   12,752 
 1,787,215      Shandong Weigao Group Medical Polymer Co Ltd   3,576 
 28,741      Shanghai Kindly Medical Instruments Co Ltd   175 
 51,900      Shanghai Pharmaceuticals Holding Co Ltd   155 
 411,240      Shanghai Pharmaceuticals Holding Co Ltd (Hong Kong)   690 
 12,614   *,e  Sharps Compliance Corp   79 
 205,060      Shenzhen Mindray Bio-Medical Electronics Co Ltd   10,504 
 112,784   *  Shockwave Medical Inc   8,549 
 52,181   *  SI-BONE, Inc   1,238 
 35,713   g  Siemens Healthineers AG.   1,603 
 73,365   e  Sienna Senior Living, Inc   617 
 44,072   *,e  Sientra, Inc   150 
 1,843,691      Sigma Healthcare Ltd   780 
 70,651   *  Silk Road Medical Inc   4,748 
 11,917      Simulations Plus, Inc   898 
 681,971      Sinopharm Group Co   1,441 
 622,040      Smith & Nephew plc   12,185 
 2,800      Software Service, Inc   295 
 49,800      Solasto Corp   653 
 5,231   *,e  Soliton Inc   40 
 714,276      Sonic Healthcare Ltd   16,962 
 61,393      Sonova Holdings AG   15,558 
 316,479   g  Spire Healthcare Group plc   389 
 45,000      St. Shine Optical Co Ltd   444 
 83,510   *,e  Staar Surgical Co   4,723 
 39,333   *,e  Stereotaxis, Inc   141 
 118,798      STERIS plc   20,931 
 8,134      STRATEC Biomedical AG.   1,182 
84

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES       COMPANY  VALUE
(000)
 
 10,693   e  Straumann Holding AG.  $10,817 
 563,822      Stryker Corp   117,484 
 4,990      Suheung Capsule Co Ltd   241 
 245,647      Summerset Group Holdings Ltd   1,469 
 1,417,400      Supermax Corp BHD   2,888 
 129,036   *,e  Surgalign Holdings, Inc   234 
 78,904   *,e  Surgery Partners, Inc   1,728 
 15,153   *  SurModics, Inc   590 
 41,541   *  Suven Pharmaceuticals Ltd   214 
 41,541   *  Suven Pharmaceuticals Ltd   214 
 17,239      Suzuken Co Ltd   658 
 149,842      Sysmex Corp   14,337 
 15,974   *,e  Tabula Rasa HealthCare, Inc   651 
 20,368   *,e  Tactile Systems Technology, Inc   745 
 47,000      TaiDoc Technology Corp   312 
 116,438   *  Tandem Diabetes Care, Inc   13,216 
 4,728   *,e  Tela Bio, Inc   78 
 119,837   *,e  Teladoc, Inc   26,273 
 69,611      Teleflex, Inc   23,697 
 195,845   *,e  Tenet Healthcare Corp   4,800 
 609,864      Terumo Corp   24,282 
 430,011      Thonburi Healthcare Group PCL   253 
 53,508   *  Tivity Health, Inc   750 
 152,130      Toho Pharmaceutical Co Ltd   3,281 
 22,409      Tokai Corp (GIFU)   443 
 4,606,200      Top Glove Corp BHD   9,235 
 15,600   *  Topchoice Medical Corp   491 
 2,414,000   †,e  Town Health International Medical Group Ltd   3 
 22,097   *,e  Transmedics Group, Inc   305 
 37,391   *  Triple-S Management Corp (Class B)   668 
 57,118      Tsuki Corp   321 
 230,380      Uniphar plc   670 
 1,608,778      United Drug plc   16,002 
 2,224,966      UnitedHealth Group, Inc   693,678 
 85,792   e  Universal Health Services, Inc (Class B)   9,181 
 9,883      US Physical Therapy, Inc   859 
 3,922   e  Utah Medical Products, Inc   313 
 6,975      Value Added Technologies Co Ltd   130 
 76,594   *  Vapotherm, Inc   2,221 
 57,492   *,e  Varex Imaging Corp   731 
 14,482   *  Varian Medical Systems, Inc   2,491 
 196,163   *  Veeva Systems, Inc   55,159 
 17,477   *,e  Venus Concept, Inc   41 
 30,533   *,e  Viemed Healthcare, Inc   264 
 38,026   *,e  Viemed Healthcare, Inc (Toronto)   330 
 6,841      Vieworks Co Ltd   176 
 145,461   *,e  ViewRay, Inc   509 
 45,000      VITAL KSK Holdings, Inc   466 
 26,272   *  Vocera Communications, Inc   764 
 85,829   *,e  VolitionRX Ltd   276 
 302,568      West Pharmaceutical Services, Inc   83,176 
 14,464   *  William Demant Holding A.S.   454 
 54,600      Winning Health Technology Group Co Ltd   157 
 136,043   *,e  Wright Medical Group NV   4,155 
85

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES       COMPANY  VALUE
(000)
 
 200,705   *,e  Xvivo Perfusion AB  $6,088 
 3,336   e  Ypsomed Holding AG.   488 
 2,496,788      Zimmer Biomet Holdings, Inc   339,913 
 18,807   e  Zynex Inc   328 
        TOTAL HEALTH CARE EQUIPMENT & SERVICES   5,983,960 
              
HOUSEHOLD & PERSONAL PRODUCTS - 1.7%        
 7,922      Aekyung Industrial Co Ltd   137 
 383,364      Amorepacific Corp   53,445 
 5,312      Amorepacific Corp (Preference)   262 
 68,686      Bajaj Corp Ltd   171 
 156,560      Beiersdorf AG.   17,775 
 103,404   *  BellRing Brands, Inc   2,145 
 5,499,000   †,e  Best World International Ltd   4,109 
 14,693   e  Blackmores Ltd   667 
 305,256      BWX Ltd   967 
 49,100      By-health Co Ltd   152 
 76,200      C&S Paper Co Ltd   241 
 35,462   *,e  Central Garden & Pet Co   1,416 
 164,458   *  Central Garden and Pet Co (Class A)   5,944 
 43,000      Chlitina Holding Ltd   271 
 350,179      Church & Dwight Co, Inc   32,815 
 196,665      Clorox Co   41,333 
 1,636,160      Colgate-Palmolive Co   126,230 
 28,218      Colgate-Palmolive India Ltd   549 
 6,823      Cosmax, Inc   675 
 409,349      Coty, Inc   1,105 
 264,765      Dabur India Ltd   1,835 
 14,830      Earth Chemical Co Ltd   1,105 
 91,333   *  Edgewell Personal Care Co   2,546 
 475,803   *  elf Beauty, Inc   8,741 
 99,150      Emami Ltd   473 
 90,815      Energizer Holdings, Inc   3,554 
 565,904      Essity AB   19,106 
 675,310      Estee Lauder Cos (Class A)   147,386 
 88,800   *  Euglena Co Ltd   745 
 87,084      Fancl Corp   2,844 
 5,647      Gillette India Ltd   410 
 198,101      Godrej Consumer Products Ltd   1,954 
 105,000      Grape King Industrial Co   615 
 335,147      Hengan International Group Co Ltd   2,453 
 119,198      Henkel KGaA   11,148 
 166,202      Henkel KGaA (Preference)   17,382 
 149,739   *  Herbalife Nutrition Ltd   6,985 
 753,177      Hindustan Lever Ltd   21,166 
 29,751   *  Hyundai Bioscience Co Ltd   280 
 16,017   e  Inter Parfums S.A.   821 
 13,094   e  Inter Parfums, Inc   489 
 42,803      Jamieson Wellness, Inc   1,355 
 86,557      Jyothy Laboratories Ltd   173 
 654,484      Kao Corp   49,133 
 523,784      Kimberly-Clark Corp   77,342 
 1,420,916      Kimberly-Clark de Mexico S.A. de C.V. (Class A)   2,256 
 686,775   e  Kitanotatsujin Corp   3,561 
86

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES       COMPANY  VALUE
(000)
 
 3,860      Kobayashi Pharmaceutical Co Ltd  $373 
 6,610      Kolmar BNH Co Ltd   345 
 12,550      Korea Kolmar Co Ltd   493 
 6,200      Korea Kolmar Holdings Co Ltd   141 
 16,040      Kose Corp   1,964 
 9,501      LG Household & Health Care Ltd   11,725 
 1,089      LG Household & Health Care Ltd (Preference)   658 
 12,678   *,e  Lifevantage Corp   153 
 171,850      Lion Corp   3,528 
 350,699      L’Oreal S.A.   114,128 
 40,572      Mandom Corp   683 
 250,812      Marico Ltd   1,235 
 28,814      Medifast, Inc   4,738 
 29,498      Milbon Co Ltd   1,566 
 709,544      Natura & Co Holding S.A.   6,460 
 6,509   *,e  Nature’s Sunshine Products, Inc   75 
 16,400   e  Noevir Holdings Co Ltd   768 
 73,528   e  Nu Skin Enterprises, Inc (Class A)   3,683 
 8,519   e  Oil-Dri Corp of America   305 
 94,188   e  Ontex Group NV   1,228 
 42,011      Pacific Corp   1,751 
 82,761      Pigeon Corp   3,698 
 17,455      Pola Orbis Holdings, Inc   329 
 5,259,482      Procter & Gamble Co   731,015 
 7,600      Proya Cosmetics Co Ltd   161 
 4,837,504      PT Industri Jamu Dan Farmasi Sido Muncul Tbk   243 
 7,276,845      PT Unilever Indonesia Tbk   3,971 
 242,364   e  PZ Cussons plc   735 
 1,054,934      Reckitt Benckiser Group plc   102,862 
 7,107   *,e  Revlon, Inc (Class A)   45 
 70,901      Reynolds Consumer Products Inc   2,171 
 104,845      Rohto Pharmaceutical Co Ltd   3,447 
 29,398      Sarantis S.A.   294 
 19,400      Shanghai Jahwa United Co Ltd   108 
 430,177      Shiseido Co Ltd   24,903 
 79,213      Spectrum Brands Holdings, Inc   4,528 
 14,200      ST Corp   306 
 360,128      TCI Co Ltd   3,364 
 615,121      Uni-Charm Corp   27,510 
 1,803,103      Unilever NV   109,498 
 1,429,024      Unilever plc   88,104 
 26,659   *  USANA Health Sciences, Inc   1,963 
 92,299   *,e  Veru, Inc   242 
 351,000      Vinda International Holdings Ltd   1,156 
 11,189      WD-40 Co   2,118 
 32,800   e  YA-MAN Ltd   490 
        TOTAL HOUSEHOLD & PERSONAL PRODUCTS   1,945,528 
              
INSURANCE - 3.0%        
 25,402      Admiral Group plc   857 
 237,827      Aegon NV   616 
 1,020,404      Aflac, Inc   37,092 
 263,090   e  Ageas   10,765 
 13,949,464      AIA Group Ltd   138,659 
87

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES       COMPANY  VALUE
(000)
 
 15,709   *  Al Rajhi Co for Co-operative Insurance  $338 
 28,846      Alleghany Corp   15,013 
 502,150      Allianz AG.   96,377 
 916,036      Allstate Corp   86,236 
 149,199      Alm Brand AS   1,706 
 74,482   *  AMBAC Financial Group, Inc   951 
 144,196      American Equity Investment Life Holding Co   3,171 
 148,024      American Financial Group, Inc   9,915 
 2,761,006      American International Group, Inc   76,010 
 11,027      American National Group, Inc   745 
 29,633      Amerisafe, Inc   1,700 
 81,600      Anicom Holdings, Inc   830 
 350,009      Aon plc   72,207 
 561,459   *  Arch Capital Group Ltd   16,423 
 52,508   *  Argo Group International Holdings Ltd   1,808 
 271,068      Arthur J. Gallagher & Co   28,619 
 156,521      ASR Nederland NV   5,264 
 1,163,197      Assicurazioni Generali S.p.A.   16,395 
 297,920      Assurant, Inc   36,141 
 185,398      Assured Guaranty Ltd   3,982 
 322,033   *  Athene Holding Ltd   10,975 
 83,182      AUB Group Ltd   989 
 4,834,741      Aviva plc   17,887 
 2,020,353      AXA S.A.   37,393 
 168,880      Axis Capital Holdings Ltd   7,437 
 35,295      Bajaj Finserv Ltd   2,815 
 45,173      Baloise Holding AG.   6,651 
 520,700      Bangkok Life Assurance PCL   291 
 654,174      BB Seguridade Participacoes S.A.   2,827 
 1,722,587      Beazley plc   6,820 
 3,516,766   *  Berkshire Hathaway, Inc (Class B)   748,860 
 133,622   *  Brighthouse Financial, Inc   3,596 
 353,768      Brown & Brown, Inc   16,015 
 138,987   *  BRP Group, Inc   3,462 
 56,381      Bupa Arabia for Cooperative Insurance Co   1,848 
 7,668,214      Cathay Financial Holding Co Ltd   10,266 
 12,286,677      China Development Financial Holding Corp   3,634 
 1,577,286      China Insurance International Holdings Co Ltd   2,418 
 7,224,790      China Life Insurance Co Ltd   16,378 
 159,500      China Life Insurance Co Ltd (Class A)   1,047 
 2,464,179      China Life Insurance Co Ltd (Taiwan)   1,701 
 370,300      China Pacific Insurance Group Co Ltd   1,706 
 2,716,239      China Pacific Insurance Group Co Ltd (Hong Kong)   7,758 
 6,886,000      China Reinsurance Group Corp   635 
 1,393,855      Chubb Ltd   161,854 
 215,531      Cincinnati Financial Corp   16,805 
 85,851   *,e  Citizens, Inc (Class A)   476 
 60,790   *  Clal Insurance   573 
 38,742      CNA Financial Corp   1,162 
 310,194      CNP Assurances   3,890 
 59,583   *  Co for Cooperative Insurance   1,385 
 225,289      Conseco, Inc   3,614 
 3,630,000   *,†,e  Convoy Financial Holdings Ltd   5 
 147,517      Corp Mapfre S.A.   231 
88

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES       COMPANY  VALUE
(000)
 
 25,174   e  Crawford & Co  $165 
 750,451      Dai-ichi Mutual Life Insurance Co   10,589 
 181,361      Direct Line Insurance Group plc   633 
 194,560      Discovery Holdings Ltd   1,477 
 22,680   e  Donegal Group, Inc (Class A)   319 
 46,569      Dongbu Insurance Co Ltd   1,800 
 26,533   *  eHealth, Inc   2,096 
 47,712      Employers Holdings, Inc   1,443 
 19,848   *  Enstar Group Ltd   3,205 
 37,646      Erie Indemnity Co (Class A)   7,916 
 155,063      Everest Re Group Ltd   30,631 
 30,941      Fairfax Financial Holdings Ltd   9,111 
 41,526   e  Fanhua, Inc (ADR)   696 
 16,841      FBL Financial Group, Inc (Class A)   812 
 8,581      FedNat Holding Co   54 
 388,775      Fidelity National Financial Inc   12,173 
 193,218      First American Financial Corp   9,837 
 6,439,977      Fubon Financial Holding Co Ltd   9,371 
 847,555   *  Genworth Financial, Inc (Class A)   2,839 
 170,504      Gjensidige Forsikring BA   3,460 
 153,820      Globe Life, Inc   12,290 
 56,784   *  GoHealth, Inc   740 
 23,216      Goosehead Insurance, Inc   2,010 
 263,481   e  Great-West Lifeco, Inc   5,149 
 38,186   *,e  Greenlight Capital Re Ltd (Class A)   257 
 63,430      Grupo Catalana Occidente S.A.   1,591 
 8,014      Hannover Rueckversicherung AG.   1,241 
 56,366      Hanover Insurance Group, Inc   5,252 
 127,127      Harel Insurance Investments & Finances Ltd   795 
 1,225,403      Hartford Financial Services Group, Inc   45,168 
 411,256   g  Hastings Group Holdings Ltd   1,339 
 7,498      HCI Group, Inc   370 
 670,782   g  HDFC Life Insurance Co Ltd   5,092 
 38,660      Helvetia Holding AG.   3,294 
 114,697      Heritage Insurance Holdings, Inc   1,161 
 384,349      Hiscox Ltd   4,435 
 70,336      Horace Mann Educators Corp   2,349 
 268,400      Hubei Biocause Pharmaceutical Co Ltd   209 
 60,479      Hyundai Marine & Fire Insurance Co Ltd   1,157 
 100,433      iA Financial Corp, Inc   3,496 
 270,137   g  ICICI Lombard General Insurance Co Ltd   4,758 
 310,663   g  ICICI Prudential Life Insurance Co Ltd   1,777 
 9,077      IDI Insurance Co Ltd   223 
 8,137   e  Independence Holding Co   307 
 2,412,679      Insurance Australia Group Ltd   7,635 
 214,889      Intact Financial Corp   23,010 
 1,968   e  Investors Title Co   256 
 1,052,520      IRB Brasil Resseguros S   1,404 
 27,999      James River Group Holdings Ltd   1,247 
 1,412,560      Japan Post Holdings Co Ltd   9,632 
 155,300      Japan Post Insurance Co Ltd   2,445 
 1,168,291   *,e  Just Retirement Group plc   678 
 116,078   e  Kemper Corp   7,757 
 50,919      Kinsale Capital Group, Inc   9,684 
89

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES       COMPANY  VALUE
(000)
 
 288,958      Korea Life Insurance Co Ltd  $377 
 71,277      Korean Reinsurance Co   454 
 269,759      Lancashire Holdings Ltd   2,411 
 5,853,996      Legal & General Group plc   14,281 
 17,364   *,e  Lemonade, Inc   863 
 122,669      Liberty Holdings Ltd   415 
 279,520      Lincoln National Corp   8,757 
 338,516   e  Loews Corp   11,763 
 2,285,817      Manulife Financial Corp (Toronto)   31,793 
 19,291   *  Markel Corp   18,784 
 1,755,891      Marsh & McLennan Cos, Inc   201,401 
 151,216   *  Max India Ltd   1,258 
 104,323   *  MBIA, Inc   632 
 2,566,123      Medibank Pvt Ltd   4,630 
 28,584      Menorah Mivtachim Holdings Ltd   347 
 567,918      Mercuries & Associates Holding Ltd   426 
 1,093,198   *  Mercuries Life Insurance Co Lt   343 
 60,511      Mercury General Corp   2,503 
 47,530      Meritz Fire & Marine Insurance Co Ltd   522 
 2,192,698      Metlife, Inc   81,503 
 417,127      Migdal Insurance Holdings Ltd   271 
 62,474      Mirae Asset Life Insurance Co Ltd   205 
 309,684      Mitsui Sumitomo Insurance Group Holdings, Inc   8,344 
 394,801      Momentum Metropolitan Holdings   365 
 77,036      Muenchener Rueckver AG.   19,584 
 385,699      National General Holdings Corp   13,017 
 3,963   e  National Western Life Group, Inc   724 
 127,700      New China Life Insurance Co Ltd   1,170 
 802,582      New China Life insurance Co Ltd (Hong Kong)   3,017 
 8,858   *  NI Holdings, Inc   150 
 669,219      nib holdings Ltd   1,961 
 314,182      NKSJ Holdings, Inc   10,847 
 283,697      NN Group NV   10,634 
 2,292,769      Old Mutual Ltd   1,413 
 403,737      Old Republic International Corp   5,951 
 33,817   *  Palomar Holdings, Inc   3,525 
 8,080,888      People’s Insurance Co Group of China Ltd   2,405 
 396,700      People’s Insurance Co Group of China Ltd (Class A)   396 
 601,494      Phoenix Group Holdings plc   5,349 
 164,689      Phoenix Holdings Ltd   764 
 6,808,318      PICC Property & Casualty Co Ltd   4,783 
 11,611,246      Ping An Insurance Group Co of China Ltd   120,535 
 2,052,737      Ping An Insurance Group Co of China Ltd (Class A)   23,082 
 83,174      Porto Seguro S.A.   715 
 487,095   g  Poste Italiane S.p.A   4,317 
 818,830      Power Corp Of Canada   16,044 
 302,149      Powszechny Zaklad Ubezpieczen S.A.   1,939 
 59,288      Primerica, Inc   6,708 
 393,138      Principal Financial Group   15,832 
 86,046      ProAssurance Corp   1,346 
 1,032,882      Progressive Corp   97,783 
 25,851   *,e  ProSight Global, Inc   293 
 8,214      Protective Insurance Corp   108 
 82,716   *,e  Protector Forsikring ASA   405 
90

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES       COMPANY  VALUE
(000)
 
 997,344      Prudential Financial, Inc  $63,351 
 3,461,106      Prudential plc   49,661 
 11,021,200   *  PT Panin Life Tbk   136 
 1,556,700      Qatar Insurance Co SAQ   979 
 1,502,638      QBE Insurance Group Ltd   9,346 
 643,394   e  Qualitas Controladora SAB de C.V.   2,426 
 342,536      Rand Merchant Investment Holdings Ltd   594 
 96,655   e  Reinsurance Group of America, Inc (Class A)   9,201 
 102,930      RenaissanceRe Holdings Ltd   17,471 
 34,492      RLI Corp   2,888 
 958,454      RSA Insurance Group plc   5,596 
 281,224   e,g  Sabre Insurance Group plc   926 
 22,602      Safety Insurance Group, Inc   1,562 
 1,270,118   e  Saga plc   204 
 387,517      Sampo Oyj (A Shares)   15,347 
 29,797      Samsung Fire & Marine Insurance Co Ltd   4,642 
 67,534      Samsung Life Insurance Co Ltd   3,524 
 1,764,993      Sanlam Ltd   5,440 
 377,988   g  SBI Life Insurance Co Ltd   4,160 
 21,074      SCOR SE   587 
 157,524      Selective Insurance Group, Inc   8,111 
 37,820   *,e  Selectquote, Inc   766 
 10,829,474      Shin Kong Financial Holding Co Ltd   3,026 
 192,564      Shinkong Insurance Co Ltd   233 
 168,854   e  Societa Cattolica di Assicurazioni SCRL   899 
 28,393   e  State Auto Financial Corp   391 
 963,312      Steadfast Group Ltd   2,240 
 39,852      Stewart Information Services Corp   1,743 
 520,157      Storebrand ASA   2,740 
 267,294      Sul America S.A.   1,886 
 663,553      Sun Life Financial, Inc   27,039 
 1,299,579      Suncorp-Metway Ltd   7,933 
 25,608      Swiss Life Holding   9,690 
 42,172      Swiss Re Ltd   3,128 
 228,100      Syarikat Takaful Malaysia BHD   270 
 1,047,270      T&D Holdings, Inc   10,324 
 576,708   *,e  Third Point Reinsurance Ltd   4,008 
 68,717      TI Financial Holdings Ltd   369 
 25,146      Tiptree Inc   124 
 1,431,535      Tokio Marine Holdings, Inc   62,636 
 38,986      Tong Yang Life Insurance   102 
 66,201      Topdanmark AS   3,204 
 111,024      TQM Corp PCL   452 
 361,686      Travelers Cos, Inc   39,131 
 14,590   *  Trean Insurance Group, Inc   222 
 77,697   *,e  Trupanion, Inc   6,130 
 15,469      Tryg A.S.   487 
 487,346      Unipol Gruppo Finanziario S.p.A   2,130 
 140,287      Uniqa Versicherungen AG.   849 
 36,718      United Fire Group Inc   746 
 59,845      United Insurance Holdings Corp   363 
 53,576      Universal Insurance Holdings, Inc   741 
 291,424      Unum Group   4,905 
 1,606   e  Vericity, Inc   16 
91

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES       COMPANY  VALUE
(000)
 
 252,446      W.R. Berkley Corp  $15,437 
 32,007   *  Watford Holdings Ltd   734 
 7,172      White Mountains Insurance Group Ltd   5,587 
 76,928   e  Wiener Staedtische Allgemeine Versicherung AG.   1,712 
 189,320      Willis Towers Watson plc   39,534 
 71,883      Wiz Solucoes e Corretagem de Seguros S.A.   118 
 24,836      Wuestenrot & Wuerttembergische AG.   416 
 370,900   *,e,g  ZhongAn Online P&C Insurance Co Ltd   1,859 
 164,074      Zurich Insurance Group AG   57,215 
        TOTAL INSURANCE   3,337,191 
              
MATERIALS - 4.3%        
 38,442      Aarti Industries   529 
 178,356      Acerinox S.A.   1,462 
 13,352      Achilles Corp   224 
 94,738      ADEKA Corp   1,364 
 440,403      Adelaide Brighton Ltd   904 
 18,066   e  Advanced Emissions Solutions, Inc   73 
 33,475   e  Advanced Metallurgical Group NV   552 
 102,463      Advanced Petrochemical Co   1,618 
 159,126      Advansa Sasa Polyester Sanayi AS   342 
 46,624   *  AdvanSix, Inc   601 
 102,512      Aeci Ltd   470 
 109,763   e  African Rainbow Minerals Ltd   1,267 
 253,158      Agnico-Eagle Mines Ltd   20,170 
 54,366   *,e  AgroFresh Solutions, Inc   132 
 11,200      Aichi Steel Corp   278 
 509,586      Air Liquide   80,774 
 214,811      Air Products & Chemicals, Inc   63,984 
 145,449      Air Water, Inc   1,967 
 4,846      AK Holdings, Inc   73 
 7,734      Akzo Nobel India Ltd   228 
 79,651      Akzo Nobel NV   8,050 
 427,464   e  Alamos Gold, Inc   3,766 
 351,892   e  Albemarle Corp   31,417 
 311,233   *  Alcoa Corp   3,620 
 641,978   *  Allegheny Technologies, Inc   5,598 
 400,726   *,e  Alpek SAB de C.V.   279 
 43,865   e  Altius Minerals Corp   319 
 80,188      Altri SGPS S.A.   352 
 2,723,718      Alumina Ltd   2,714 
 4,888,145   *  Aluminum Corp of China Ltd   1,008 
 851,900   *  Aluminum Corp of China Ltd (Class A)   365 
 659,414      Ambuja Cements Ltd   1,941 
 2,263,619      Amcor plc   25,013 
 50,292   e  American Vanguard Corp   661 
 172,583   *,e  Amyris, Inc   504 
 181,872      Anadolu Cam Sanayii AS   148 
 663,840      Angang Steel Co Ltd   253 
 53,320      Anglo American Platinum Ltd   3,692 
 1,270,700      Anglo American plc (London)   30,743 
 397,822      AngloGold Ashanti Ltd   10,407 
 889,632   e  AngloGold Ashanti Ltd (ADR)   23,469 
 1,321,469      Anhui Conch Cement Co Ltd   9,153 
92

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES       COMPANY  VALUE
(000)
 
 246,275      Anhui Conch Cement Co Ltd (Class A)  $2,010 
 368,589      Antofagasta plc   4,864 
 55,229      APERAM   1,554 
 5,991      APL Apollo Tubes Ltd   237 
 18,214      Aptargroup, Inc   2,062 
 123,241      Arabian Cement Co   1,068 
 684,997      ArcelorMittal   9,113 
 163,006   *,e  Arconic Corp   3,105 
 29,567      Ardagh Group S.A.   415 
 9,179      Arkema   973 
 97,117      Asahi Holdings, Inc   3,153 
 1,277,693      Asahi Kasei Corp   11,146 
 17,288      Ashland Global Holdings, Inc   1,226 
 1,021,625      Asia Cement China Holdings Corp   905 
 1,105,164      Asia Cement Corp   1,592 
 285,188      Asian Paints Ltd   7,684 
 362,500      ATA IMS BHD   153 
 13,936      Atul Ltd   1,158 
 119,443   *,e  Aurora Cannabis, Inc   556 
 37,590      Aurubis AG.   2,557 
 326,067      Avery Dennison Corp   41,684 
 270,585      Avient Corp   7,160 
 2,719,767   *  Axalta Coating Systems Ltd   60,297 
 968,314      B2Gold Corp   6,305 
 112,626      Balchem Corp   10,996 
 482,030      Ball Corp   40,066 
 1,510,100      Baoshan Iron & Steel Co Ltd   1,110 
 2,383,272      Barrick Gold Corp (Canada)   66,940 
 8,699      BASF India Ltd   179 
 1,183,777      BASF SE   72,087 
 10,343      Bayer CropScience Ltd   826 
 346,000      BBMG Corp   157 
 76,600      Beijing Oriental Yuhong Waterproof Technology Co Ltd   610 
 39,022      Bekaert S.A.   813 
 111,137      Berger Paints India Ltd   881 
 1,674,362   *  Berry Global Group, Inc   80,905 
 3,502,729      BHP Billiton Ltd   90,488 
 2,309,988      BHP Group plc   49,282 
 197,208      Billerud AB   3,300 
 4,000   *,†,e  Bio On S.p.A.    0^
 14,398      Birla Corp Ltd   130 
 575,847      BlueScope Steel Ltd   5,306 
 125,935      Boise Cascade Co   5,027 
 255,152      Boliden AB   7,571 
 1,387,706      Boral Ltd   4,586 
 106,900      Borregaard ASA   1,643 
 366,948      Bradespar S.A.   2,933 
 187,375      Braskem S.A.   694 
 84,519      Brickworks Ltd   1,182 
 186,767   e  Buzzi Unicem S.p.A.   4,339 
 71,018      Buzzi Unicem S.p.A. RSP   932 
 15,826      Cabot Corp   570 
 537,000      Cahya Mata Sarawak BHD   160 
93

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES       COMPANY  VALUE
(000)
 
 43,107   e  Caledonia Mining Corp plc  $732 
 68,202   *  Canfor Corp   768 
 32,233      Canfor Pulp Products, Inc   121 
 63,028      CAP S.A.   531 
 75,445      Carpenter Technology Corp   1,370 
 165,424      Cascades, Inc   2,092 
 139,771      CCL Industries   5,389 
 383,026      Celanese Corp (Series A)   41,156 
 54,245      Cementir Holding NV   375 
 446,514      Cementos Argos S.A.   540 
 14,256,638      Cemex S.A. de C.V.   5,403 
 1,331,192      Centamin plc   3,475 
 241,074      Centerra Gold, Inc   2,804 
 163,019      Central Asia Metals plc   339 
 87,209   *  Century Aluminum Co   621 
 117,000      Century Iron & Steel Industrial Co Ltd   520 
 24,572      Century Textile & Industries Ltd   111 
 151,223      CF Industries Holdings, Inc   4,644 
 97,872      Chambal Fertilizers & Chemicals Ltd   210 
 394,902   *  Champion Iron Ltd   833 
 5,561      Chase Corp   531 
 45,376      Chemours Co   949 
 1,612,006      Cheng Loong Corp   1,763 
 374,000      Chia Hsin Cement Corp   204 
 8,266,695      China BlueChemical Ltd   1,203 
 296,127      China General Plastics Corp   200 
 86,600      China Hi-ment Corp   133 
 2,023,500      China Hongqiao Group Ltd   1,268 
 212,600      China Jushi Co Ltd   453 
 1,063,232      China Manmade Fibers Corp   280 
 228,112      China Metal Products   252 
 992,000   *,g  China Metal Resources Utilization Ltd   30 
 3,447,000      China Molybdenum Co Ltd   1,231 
 724,200      China Molybdenum Co Ltd (Class A)   398 
 3,515,982      China National Building Material Co Ltd   4,481 
 203,000      China Northern Rare Earth Group High-Tech Co Ltd   322 
 1,002,000      China Oriental Group Co Ltd   225 
 3,074,359      China Petrochemical Development Corp   894 
 1,222,000      China Resources Cement Holdings Ltd   1,680 
 143,000      China Steel Chemical Corp   451 
 11,424,633      China Steel Corp   8,092 
 618,912      China Synthetic Rubber Corp   421 
 318,000      China XLX Fertiliser Ltd   97 
 1,425,200   e  China Zhongwang Holdings Ltd   242 
 156,354      Christian Hansen Holding   17,356 
 46,678      Chugoku Marine Paints Ltd   442 
 3,884      Chunbo Co Ltd   563 
 777,000      Chung Hung Steel Corp   252 
 341,540      Chung Hwa Pulp Corp   104 
 316,655      Cia de Minas Buenaventura S.A. (ADR) (Series B)   3,870 
 630,475      Cia Siderurgica Nacional S.A.   1,852 
 25,126   *  Ciech S.A.   178 
 318,023      City Cement Co   1,687 
 26,471      Clariant AG.   522 
94

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES       COMPANY  VALUE
(000)
 
 31,399   *  Clearwater Paper Corp  $1,191 
 641,421   e  Cleveland-Cliffs, Inc   4,118 
 30,622   *  CMC Materials, Inc   4,373 
 525,384   *  Coeur Mining, Inc   3,877 
 247,603   e  Commercial Metals Co   4,947 
 86,132   *,†  Companhia Vale do Rio Doce    0 
 27,360      Compass Minerals International, Inc   1,624 
 67,019      Corbion NV   3,082 
 67,582      Coromandel International Ltd   709 
 984,803   g  Coronado Global Resources, Inc (ADR)   685 
 1,378,043      Corteva, Inc   39,701 
 45,234      Corticeira Amorim SGPS S.A.   558 
 460,895   g  Covestro AG.   22,856 
 465,000      CPMC Holdings Ltd   205 
 2,123,887      CRH plc   77,015 
 20,056      Croda International plc   1,618 
 1,357,876   *  Crown Holdings, Inc   104,366 
 538,157      CSR Ltd   1,659 
 1,811,900      D&L Industries Inc   207 
 187,408      Daicel Chemical Industries Ltd   1,351 
 28,031   e  Daido Steel Co Ltd   873 
 12,200      Daiken Corp   214 
 12,571      Dainichiseika Color & Chemicals Manufacturing Co Ltd   270 
 85,001      Dainippon Ink and Chemicals, Inc   2,125 
 137,599   e  Daio Paper Corp   1,963 
 13,300      Daiso Co Ltd   324 
 31,545      Deepak Nitrite Ltd   352 
 87,449      Denki Kagaku Kogyo KK   2,663 
 8,300   *  DKS Co Ltd   338 
 160,813   e  Domtar Corp   4,225 
 32,100      Dongjin Semichem Co Ltd   810 
 51,256   *  Dongkuk Steel Mill Co Ltd   278 
 4,648      Dongwon Systems Corp   93 
 1,036,000      Dongyue Group   400 
 4,051,715   n  Dow, Inc   190,633 
 89,479      Dowa Holdings Co Ltd   2,626 
 394,380   e  DRDGOLD Ltd   465 
 1,545,816      DS Smith plc   5,873 
 109,733      DSM NV   18,066 
 9,716   *  Duk San Neolux Co Ltd   262 
 158,592      Dundee Precious Metals, Inc   1,136 
 4,325,565   n  DuPont de Nemours, Inc   239,982 
 6,353      Eagle Materials, Inc   548 
 828,500      Eastern Polymer Group PCL   125 
 74,329      Eastern Province Cement Co   698 
 38,021      Eastman Chemical Co   2,970 
 256,394      Ecolab, Inc   51,238 
 17,945      Ecopro Co Ltd   685 
 50,448      EID Parry India Ltd   194 
 182,973   *  Eldorado Gold Corp   1,931 
 215,102   *  Element Solutions, Inc   2,261 
 653,535      Elementis plc   641 
 295,007   g  Elkem ASA   629 
95

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES       COMPANY  VALUE
(000)
 
 1,068,711      Empresas CMPC S.A.  $2,246 
 1,088   e  EMS-Chemie Holding AG.   978 
 165,849   e  Ence Energia y Celulosa S.A.   425 
 182,910   *  Endeavour Mining Corp   4,554 
 156,019   *,e  Endeavour Silver Corp   548 
 533,421      Engro Chemical Pakistan Ltd   969 
 462,359      Engro Fertilizers Ltd   170 
 213,059   *  Equinox Gold Corp   2,488 
 10,509   e  Eramet   265 
 739,904      Eregli Demir ve Celik Fabrikalari TAS   907 
 70,589   *  ERO Copper Corp   1,029 
 298,769      Essentra plc   981 
 828,574      Eternal Chemical Co Ltd   941 
 45,643      Eugene Corp   160 
 337,128      Everlight Chemical Industrial Corp   187 
 1,507,463      Evolution Mining Ltd   6,297 
 312,860      Evonik Industries AG.   8,093 
 67,771      Evraz plc   302 
 998,311      Fauji Fertilizer Co Ltd   650 
 431,050      Feng Hsin Iron & Steel Co   834 
 38,498      Ferbasa-Ferro Ligas DA Bahia   120 
 331,044      Ferrexpo plc   754 
 144,317   *  Ferro Corp   1,790 
 202,348   *,†  Ferroglobe plc    0 
 26,144      Finolex Industries Ltd   178 
 206,535   *,e  First Majestic Silver Corp   1,964 
 1,349,249      First Quantum Minerals Ltd   12,028 
 923,910      Fletcher Building Ltd   2,364 
 176,556      FMC Corp   18,699 
 46,092      Foosung Co Ltd   369 
 3,433,755      Formosa Chemicals & Fibre Corp   8,086 
 3,716,712      Formosa Plastics Corp   10,154 
 262,121   g  Forterra plc   599 
 17,246   *,e  Forterra, Inc   204 
 2,631,183      Fortescue Metals Group Ltd   30,911 
 200,224   *,e  Fortuna Silver Mines, Inc   1,274 
 54,120      FP Corp   2,280 
 181,140      Franco-Nevada Corp   25,312 
 3,109,059      Freeport-McMoRan, Inc (Class B)   48,626 
 65,056      Fuchs Petrolub AG. (Preference)   3,308 
 1,379,483      Fufeng Group Ltd   438 
 47,377      Fuji Seal International, Inc   911 
 19,275      Fujimi, Inc   672 
 17,330      Fujimori Kogyo Co Ltd   716 
 33,443      Furukawa-Sky Aluminum Corp   552 
 4,026,296      Fushan International Energy Group Ltd   866 
 18,700      Fuso Chemical Co Ltd   662 
 44,212   e  FutureFuel Corp   503 
 8,082      Galaxy Surfactants Ltd   208 
 66,913   *  GCP Applied Technologies, Inc   1,402 
 283,900      GEM Co Ltd   198 
 1,012,412      Gerdau S.A. (Preference)   3,750 
 12,665      Givaudan S.A.   54,685 
 9,546,276      Glencore Xstrata plc   19,791 
96

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES       COMPANY  VALUE
(000)
 
 28,336   e  Godo Steel Ltd  $545 
 843,885      Gold Fields Ltd   10,324 
 170,270   *  Gold Resource Corp   581 
 841,121   *  Gold Road Resources Ltd   886 
 1,000,787      Goldsun Development & Construction Co Ltd   817 
 60,029      Gran Colombia Gold Corp   283 
 769,000   *  Grand Pacific Petrochemical   498 
 81,349      Granges AB   726 
 582,994      Graphic Packaging Holding Co   8,214 
 145,526      Grasim Industries Ltd   1,473 
 605,755   *,†  Great Basin Gold Ltd   5 
 40,261      Greif, Inc (Class A)   1,458 
 12,009   e  Greif, Inc (Class B)   474 
 8,450      Groupe Guillin   191 
 274,286      Grupo Argos S.A.   831 
 167,293   e  Grupo Cementos de Chihuahua SAB de C.V.   780 
 2,920,743      Grupo Mexico S.A. de C.V. (Series B)   7,430 
 158,000      Guangdong HEC Technology Holding Co Ltd   144 
 31,900      Guangdong Hongda Blasting Co Ltd   237 
 10,456      Gulf Oil Lubricants India Ltd   93 
 943      Gurit Holding AG.   2,008 
 53,249      H.B. Fuller Co   2,438 
 1,844      Hanil Cement Co Ltd   129 
 8,705      Hansol Chemical Co Ltd   1,115 
 50,454      Hansol Paper Co Ltd   601 
 96,291      Hanwha Chemical Corp   3,159 
 483,966   *  Harmony Gold Mining Co Ltd   2,562 
 14,310      Hawkins, Inc   660 
 22,634      Haynes International, Inc   387 
 1,157,947      Hecla Mining Co   5,882 
 1,642,716      HeidelbergCement AG.   100,380 
 48,638      HeidelbergCement India Ltd   123 
 312,920      Hengli Petrochemical Co Ltd   857 
 142,320      Hengyi Petrochemical Co Ltd   218 
 841,800      Hesteel Co Ltd   263 
 318,724      Hexpol AB   2,851 
 89,368      Hill & Smith Holdings plc   1,373 
 556,811      Hindalco Industries Ltd   1,330 
 408,090      Hitachi Metals Ltd   6,293 
 291,451   e  Hochschild Mining plc   822 
 6,600      Hodogaya Chemical Co Ltd   303 
 128,929      Hokuetsu Paper Mills Ltd   443 
 81,489      Holcim Ltd   3,709 
 110,739   e  Holmen AB   4,109 
 16,344      Honam Petrochemical Corp   2,740 
 219,000      Hsin Kuang Steel Co Ltd   235 
 708,000   e  Huabao International Holdings Ltd   643 
 69,200      Huaxin Cement Co Ltd   257 
 16,710      Huchems Fine Chemical Corp   294 
 581,548   e  HudBay Minerals, Inc   2,459 
 110,431      Huhtamaki Oyj   5,442 
 278,800      Hunan Valin Steel Co Ltd   207 
 414,793      Huntsman Corp   9,213 
 2,462   *  Hyosung Advanced Materials Corp   293 
97

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES       COMPANY  VALUE
(000)
 
 1,750      Hyosung Chemical Corp  $185 
 8,626      Hyosung Corp   537 
 83,245      Hyundai Steel Co   1,749 
 793,907   *  IAMGOLD Corp   3,047 
 439,038   g  Ibstock plc   882 
 469,712      Iluka Resources Ltd   3,075 
 59,107      IMCD Group NV   7,030 
 35,834      Imerys S.A.   1,332 
 773,393   e  Impala Platinum Holdings Ltd   6,720 
 2,127,341      Incitec Pivot Ltd   3,117 
 1,128,480      Independence Group NL   3,401 
 159,847      India Cements Ltd   254 
 1,005,578      Indorama Ventures PCL (Foreign)   674 
 126,576      Industrias Penoles S.A. de C.V.   2,045 
 127,063   *  Ingevity Corp   6,282 
 3,511,400      Inner Mongolia BaoTou Steel Union Co Ltd   594 
 453,003      Inner Mongolia Eerduosi Resourses Co Ltd   391 
 510,800      Inner Mongolia Junzheng Energy & Chemical Industry Group Co Ltd   545 
 50,337      Innospec, Inc   3,187 
 22,233   *  Inox Fluorochemicals Ltd   148 
 73,304   *  Interfor Corp   819 
 116,668   e  International Flavors & Fragrances, Inc   14,286 
 1      International Flavors & Fragrances, Inc (Tel Aviv)    0^
 580,403   e  International Paper Co   23,530 
 114,794   e  Intertape Polymer Group, Inc   1,279 
 70,522   *,e  Intrepid Potash, Inc   595 
 35,917      Ishihara Sangyo Kaisha Ltd   247 
 96,761      Israel Chemicals Ltd   342 
 4,711   *  Israel Corp Ltd   504 
 832,474   *  Ivanhoe Mines Ltd   3,026 
 516,909      James Hardie Industries NV   12,391 
 48,838      Jastrzebska Spolka Weglowa S.A.   326 
 22,100      JCU Corp   731 
 440,806   *  JFE Holdings, Inc   3,086 
 124,192      Jiangsu Shagang Co Ltd   222 
 19,784      Jiangsu Yangnong Chemical Co Ltd   255 
 1,249,545      Jiangxi Copper Co Ltd   1,405 
 161,200      Jiangxi Copper Co Ltd (Class A)   337 
 43,100      Jiangxi Ganfeng Lithium Co Ltd   346 
 2,730,000      Jinchuan Group International Resources Co Ltd   274 
 1,112,591   *  Jindal Steel & Power Ltd   2,840 
 229,049      Jinduicheng Molybdenum Co Ltd   200 
 17,483      JK Cement Ltd   358 
 25,723      Johnson Matthey plc   782 
 14,007      JSP Corp   215 
 164,278   e  JSR Corp   3,905 
 408,398      JSW Steel Ltd   1,545 
 1,447,059      Jupiter Mines Ltd   290 
 210,330   e  K&S AG.   1,448 
 24,802      Kaiser Aluminum Corp   1,329 
 53,415      Kaneka Corp   1,496 
 155,980   e  Kansai Paint Co Ltd   3,877 
 117,100   e  Kanto Denka Kogyo Co Ltd   810 
98

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES       COMPANY  VALUE
(000)
 
 730,178      Kardemir Karabuk Demir Celik Sanayi ve Ticaret AS (Class D)  $319 
 662,232      KAZ Minerals plc   4,478 
 113,697      Kemira Oyj   1,448 
 66,169   *  KGHM Polska Miedz S.A.   2,025 
 35,300      KH Neochem Co Ltd   829 
 1,199,061   *  Kinross Gold Corp   10,581 
 282,557      Kirkland Lake Gold Ltd   13,793 
 6,462      KISWIRE Ltd   73 
 647,600      Klabin S.A.   2,745 
 31,400      Koatsu Gas Kogyo Co Ltd   251 
 337,600   *  Kobe Steel Ltd   1,289 
 15,624      Kolon Industries, Inc   503 
 32,058      Konishi Co Ltd   470 
 25,273   *  Koppers Holdings, Inc   528 
 9,241      Korea Kumho Petrochemical   867 
 2,949      Korea Petrochemical Ind Co Ltd   419 
 7,747      Korea Zinc Co Ltd   2,500 
 34,830   *  Koza Altin Isletmeleri AS   352 
 849,846   *  Koza Anadolu Metal Madencilik Isletmeleri AS   1,393 
 50,909   *  Kraton Corp   907 
 40,037      Kronos Worldwide, Inc   515 
 5,100      Krosaki Harima Corp   145 
 80,725   *  Kuk-il Paper Manufacturing Co Ltd   384 
 63,170      Kumba Iron Ore Ltd   1,866 
 85,648      Kumiai Chemical Industry Co Ltd   869 
 304,544      Kuraray Co Ltd   2,955 
 17,400      Kureha CORP   755 
 22,716      Kyoei Steel Ltd   292 
 189,244      Labrador Iron Ore Royalty Corp   3,651 
 984,109      Lanxess AG.   56,307 
 338,255   *  Largo Resources Ltd   279 
 1,505,000      Lee & Man Paper Manufacturing Ltd   1,095 
 13,432   *  LEMON Co Ltd   168 
 14,984   e  Lenzing AG.   824 
 64,180      LG Chem Ltd   35,823 
 7,426      LG Chem Ltd (Preference)   2,028 
 20,313      Linde India Ltd   215 
 1,335,819      Linde plc   318,099 
 341,383      Linde plc (Xetra)   80,713 
 47,400      Lintec Corp   1,104 
 53,891   *,e  Lithium Americas Corp   613 
 239,027   *  Livent Corp   2,144 
 17,287      Lock & Lock Co Ltd   160 
 54,883   *,e  Loma Negra Cia Industrial Argentina S.A. (ADR)   237 
 107,700      Lomon Billions Group Co Ltd   370 
 583,704      Long Chen Paper Co Ltd   340 
 398,800   g  Lotte Chemical Titan Holding BHD   206 
 383,465      Louisiana-Pacific Corp   11,316 
 121,615      Lucky Cement Ltd   475 
 73,643   *  Lundin Gold, Inc   669 
 614,713      Lundin Mining Corp   3,430 
 1,005,680   *  Lynas Corp Ltd   1,693 
 68,718      LyondellBasell Industries NV   4,844 
99

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES       COMPANY  VALUE
(000)
 
 504,300      Maanshan Iron & Steel Co Ltd (Class A)  $198 
 51,298      Madras Cements Ltd   524 
 89,746   *  MAG. Silver Corp   1,459 
 44,302   *  Marrone Bio Innovations, Inc   54 
 350,525      Marshalls plc   2,948 
 8,468      Martin Marietta Materials, Inc   1,993 
 45,479      Maruichi Steel Tube Ltd   1,139 
 115,995   e  Materion Corp   6,035 
 7,981   *  Mayville Engineering Co Inc   73 
 158,280   *  Mechel PJSC (ADR)   239 
 2,108,001      Mesaieed Petrochemical Holding Co   1,204 
 702,144      Metalurgica Gerdau S.A.   1,175 
 70,807      Methanex Corp   1,727 
 384,295      Mineral Resources Ltd   6,931 
 52,430      Minerals Technologies, Inc   2,679 
 21,364      Miquel y Costas & Miquel S.A.   308 
 44,554   g  Mishra Dhatu Nigam Ltd   119 
 1,274,743      Mitsubishi Chemical Holdings Corp   7,358 
 136,510      Mitsubishi Gas Chemical Co, Inc   2,540 
 89,365      Mitsubishi Materials Corp   1,761 
 170,034      Mitsui Chemicals, Inc   4,110 
 352,564      Mitsui Mining & Smelting Co Ltd   8,573 
 615,935      MMC Norilsk Nickel PJSC (ADR)   14,875 
 2,280,000   *,e  MMG Ltd   574 
 52,450      MOIL Ltd   100 
 480,607      Mondi plc   10,162 
 12,981   *,†  Mongolian Metals Corporation    0 
 1,603,714      Mosaic Co   29,300 
 455,450      Mount Gibson Iron Ltd   238 
 199,504   e  M-real Oyj (B Shares)   1,645 
 89,920      Myers Industries, Inc   1,190 
 89,704      Mytilineos Holdings S.A.   961 
 737,527   *  Najran Cement Co   3,492 
 20,283      Namhae Chemical Corp   142 
 55,877   *  Namsun Aluminum Co Ltd   251 
 51,000      Nan Pao Resins Chemical Co Ltd   222 
 4,975,936      Nan Ya Plastics Corp   10,286 
 254,557      Nantex Industry Co Ltd   440 
 393,312      National Aluminium Co Ltd   172 
 159,656   *  National Industrialization Co   566 
 11,404      Navin Fluorine International Ltd   342 
 24,470      Neenah Inc   917 
 121,499      Neles Oyj   1,643 
 41,317      Neturen Co Ltd   209 
 701,912   *  New Gold, Inc   1,197 
 1,432,652      Newcrest Mining Ltd   32,487 
 2,208      NewMarket Corp   756 
 1,913,764      Newmont Goldcorp Corp   121,428 
 42,000   e  Nihon Nohyaku Co Ltd   205 
 89,781      Nihon Parkerizing Co Ltd   880 
 1,633,102      Nine Dragons Paper Holdings Ltd   2,062 
 12,500   *  Nippon Fine Chemical Co Ltd   201 
 146,066   e  Nippon Kayaku Co Ltd   1,287 
 59,803      Nippon Light Metal Holdings Co Ltd   949 
100

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES       COMPANY  VALUE
(000)
 
 140,952      Nippon Paint Co Ltd  $14,510 
 108,480   e  Nippon Paper Industries Co Ltd   1,347 
 29,028      Nippon Shokubai Co Ltd   1,548 
 24,684      Nippon Soda Co Ltd   707 
 760,949      Nippon Steel Corp   7,184 
 15,800      Nippon Valqua Industries Ltd   285 
 119,231   e  Nissan Chemical Industries Ltd   6,356 
 5,607   e  Nittetsu Mining Co Ltd   248 
 215,888      Nitto Denko Corp   14,065 
 75,282      NOF Corp   2,967 
 53,514   e  Norbord, Inc   1,581 
 1,253,878      Norsk Hydro ASA   3,461 
 1,426,308   *  Northam Platinum Ltd   14,497 
 84,520      Northern Region Cement Co   271 
 688,984      Northern Star Resources Ltd   6,827 
 299,378   *  Novagold Resources Inc   3,560 
 269,647   *,e  Novagold Resources, Inc   3,212 
 68,204      Novolipetsk Steel PJSC (GDR)   1,510 
 34,681      Novozymes AS   2,180 
 429,106      Nucor Corp   19,250 
 320,989   *  Nufarm Ltd   892 
 1,002,064      Nutrien Ltd (Toronto)   39,291 
 680,206      OceanaGold Corp   1,047 
 18,173      OCI Co Ltd   881 
 117,722   *  OCI NV   1,509 
 42,155      Odisha Cement Ltd   447 
 20,579   e  Oeneo S.A.   269 
 147,929      O-I Glass, Inc   1,567 
 692,979      OJI Paper Co Ltd   3,184 
 11,000      Okamoto Industries, Inc   430 
 37,642      Olin Corp   466 
 7,464      Olympic Steel, Inc   85 
 999,643   e  Orbia Advance Corp SAB de C.V.   1,751 
 449,771      Orica Ltd   5,008 
 464,000      Oriental Union Chemical Corp   260 
 197,710      Orion Engineered Carbons SA   2,473 
 311,920   *,e  Orocobre Ltd   558 
 1,069,489      Orora Ltd   1,847 
 14,529      Osaka Steel Co Ltd   146 
 135,423   e  Osisko Gold Royalties Ltd   1,602 
 223,651   *  Osisko Mining, Inc   583 
 351,509   e  Outokumpu Oyj   940 
 359,766      Oxiana Ltd   3,671 
 17,550   e  Pacific Metals Co Ltd   263 
 13,400      Pack Corp   395 
 31,750      Packages Ltd   96 
 201,151      Packaging Corp of America   21,936 
 233,219   e  Pact Group Holdings Ltd   384 
 6,533,942   *,e  Pactiv Evergreen, Inc   82,981 
 195,529      Pan American Silver Corp (Toronto)   6,286 
 770,500   *  Pangang Group Vanadium Titanium & Resources Co Ltd   234 
 2,004,709      Perenti Global Ltd   1,673 
 2,172,874   *  Perseus Mining Ltd   2,156 
101

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES       COMPANY  VALUE
(000)
 
 1,932,405   *  Peter Hambro Mining plc  $820 
 969,286   *  Petkim Petrokimya Holding   527 
 2,291,416      Petronas Chemicals Group BHD   3,105 
 245,537   e  PH Glatfelter Co   3,381 
 79,953      PhosAgro PJSC (GDR)   963 
 52,757      PI Industries Ltd   1,411 
 60,876      Pidilite Industries Ltd   1,185 
 1,881,574   *  Pilbara Minerals Ltd   448 
 120,976      Polymetal International plc (ADR)   2,636 
 94,640   *  Polyus PJSC (GDR)   9,975 
 66,796      Polyus PJSC (GDR)   7,037 
 16,711      Poongsan Corp   339 
 255,224      Portucel Empresa Produtora de Pasta e Papel S.A.   637 
 71,649      POSCO   11,995 
 19,989      POSCO Refractories & Environment Co Ltd   1,429 
 1,166,031      PPG Industries, Inc   142,349 
 75,827   *  PQ Group Holdings, Inc   778 
 221,459   *  Premier Gold Mines Ltd   426 
 1,296,100      Press Metal BHD   1,607 
 202,960   *  Pretium Resources, Inc   2,597 
 7,418,004      PT Aneka Tambang Tbk   354 
 23,999,492      PT Barito Pacific Tbk   1,283 
 2,403,487      PT Indah Kiat Pulp and Paper Corp Tbk   1,459 
 1,442,619      PT Indocement Tunggal Prakarsa Tbk   1,011 
 990,200      PT Pabrik Kertas Tjiwi Kimia Tbk   405 
 8,218,300   *,†  PT Sekawan Intipratama Tbk    0^
 2,636,938      PT Semen Gresik Persero Tbk   1,631 
 8,150,300      PT Waskita Beton Precast Tbk   75 
 2,144,848      PTT Global Chemical PCL (Foreign)   2,677 
 80,412      Qassim Cement Co   1,593 
 2,647,075      Qatar Aluminum Manufacturing Co   738 
 160,517      Qatar National Cement Co   170 
 10,834   e  Quaker Chemical Corp   1,947 
 45,337      Rallis India Ltd   176 
 845,559      Ramelius Resources Ltd   1,277 
 156,623   *,e  Ranpak Holdings Corp   1,491 
 59,126   *  Rayonier Advanced Materials, Inc   189 
 43,978      Recticel S.A.   450 
 578,082      Regis Resources Ltd   2,101 
 123,775   e  Reliance Steel & Aluminum Co   12,630 
 583,883   *  Rengo Co Ltd   4,413 
 1,103,221   *  Resolute Mining Ltd   746 
 32,057      Rhi Magnesita NV   1,047 
 426,285      Rio Tinto Ltd   29,116 
 1,654,426      Rio Tinto plc   99,551 
 260,777      Rongsheng Petro Chemical Co Ltd   721 
 323,529   *  Royal Bafokeng Platinum Ltd   1,343 
 114,556      Royal Gold, Inc   13,766 
 39,401      RPM International, Inc   3,264 
 39,294   *,e  Ryerson Holding Corp   225 
 21,708      Sa des Ciments Vicat   727 
 293,403   *  Sabina Gold & Silver Corp   569 
 183,176      Sahara International Petrochemical Co   808 
 13,219      Sakai Chemical Industry Co Ltd   258 
102

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES       COMPANY  VALUE
(000)
 
 45,800      Sakata INX Corp  $460 
 45,894      Salzgitter AG.   757 
 16,626      Samsung Fine Chemicals Co Ltd   705 
 217,928      Sandfire Resources NL   644 
 207,916   *,e  Sandstorm Gold Ltd   1,755 
 59,279      Sansteel Minguang Co Ltd   57 
 13,211      Sanyo Chemical Industries Ltd   618 
 21,306      Sanyo Special Steel Co Ltd   204 
 528,067      Sappi Ltd   837 
 1,163,150   *  Saracen Mineral Holdings Ltd   4,373 
 300,317      Satipel Industrial S.A.   959 
 195,143      Saudi Arabian Fertilizer Co   4,270 
 400,379   *  Saudi Arabian Mining Co   4,477 
 869,050      Saudi Basic Industries Corp   20,525 
 40,167      Saudi Cement Co   622 
 106,095      Saudi Industrial Investment Group   659 
 396,763   *  Saudi Kayan Petrochemical Co   1,240 
 42,957      Schnitzer Steel Industries, Inc (Class A)   826 
 46,531      Schweitzer-Mauduit International, Inc   1,414 
 212,900      Scientex BHD   544 
 81,576   e  Scotts Miracle-Gro Co (Class A)   12,474 
 57,367   *,e  Seabridge Gold, Inc   1,079 
 11,961      Seah Besteel Corp   100 
 49,349      Sealed Air Corp   1,915 
 23,727      Sekisui Plastics Co Ltd   138 
 27,713      Semapa-Sociedade de Investimento e Gestao   248 
 211,846      Sensient Technologies Corp   12,232 
 1,876,151      Sesa Sterlite Ltd   3,500 
 119,302      Severstal (GDR)   1,516 
 218,260      Shandong Gold Mining Co Ltd   812 
 122,403      Shandong Hualu Hengsheng Chemical Co Ltd   442 
 923,900      Shandong Nanshan Aluminum Co Ltd   310 
 36,500      Shandong Sinocera Functional Material Co Ltd   200 
 63,600      Shandong Sun Paper Industry JSC Ltd   132 
 352,100      Shanghai Chlor-Alkali Chemical Co Ltd   151 
 25,800      Shanghai Putailai New Energy Technology Co Ltd   414 
 378,900      Shanxi Taigang Stainless Steel Co Ltd   205 
 92,281      Sherwin-Williams Co   64,296 
 36,600      Shikoku Chemicals Corp   407 
 439,325      Shin-Etsu Chemical Co Ltd   57,488 
 46,403   e  Shin-Etsu Polymer Co Ltd   396 
 1,462,661      Shinkong Synthetic Fibers Corp   556 
 70,400      Shiny Chemical Industrial Co Ltd   243 
 1,597,200   e  Shougang Concord International Enterprises Co Ltd   493 
 109,480      Showa Denko KK   2,010 
 4,641      Shree Cement Ltd   1,279 
 749,592      Siam Cement PCL (Foreign)   7,635 
 2,160,736      Sibanye Stillwater Ltd   5,997 
 288,510      SIG Combibloc Group AG.   5,769 
 22,012      Sika AG.   5,405 
 203,078      Silgan Holdings, Inc   7,467 
 1,036,000   *  Silver Grant International   130 
 989,916   *  Silver Lake Resources Ltd   1,662 
 190,229      Silvercorp Metals, Inc   1,373 
103

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES       COMPANY  VALUE
(000)
 
 118,521   *,e  SilverCrest Metals, Inc  $1,005 
 193,144      Sims Group Ltd   1,063 
 1,778,000      Sinofert Holdings Ltd   157 
 2,302,924      Sinopec Shanghai Petrochemical Co Ltd   421 
 859,700      Sinopec Shanghai Petrochemical Co Ltd (Class A)   421 
 78,594      SK Chemicals Co Ltd   4,305 
 7,284      SK Chemicals Co Ltd (New)   1,851 
 19,779      SKC Co Ltd   1,399 
 13,890      SKCKOLONPI, Inc   344 
 729,361      Smurfit Kappa Group plc   28,619 
 111,239      Sociedad Quimica y Minera de Chile S.A. (Class B)   3,616 
 369,121      Soda Sanayii AS   395 
 4,581      SODIFF Advanced Materials Co Ltd   890 
 866,663   *,e  SolGold plc   311 
 9,850      Solvay S.A.   847 
 13,059      Songwon Industrial Co Ltd   145 
 28,107      Sonoco Products Co   1,435 
 30,545   *  Soulbrain Co Ltd   5,660 
 4,517,227      South32 Ltd   6,704 
 196,003      Southern Copper Corp (NY)   8,873 
 62,956      Southern Province Cement Co   1,158 
 12,863      SRF Ltd   722 
 266,794   e  Ssab Svenskt Stal AB (Series A)   886 
 693,527      Ssab Svenskt Stal AB (Series B)   2,204 
 203,457   *,e  SSR Mining, Inc   3,797 
 1,269,255      St Barbara Ltd   2,743 
 288,039   e  Steel Dynamics, Inc   8,247 
 38,970   e  Stelco Holdings, Inc   332 
 11,000      Stella Chemifa Corp   312 
 66,437      Stella-Jones, Inc   2,250 
 51,367      Stepan Co   5,599 
 2,887      STO AG.   384 
 593,159      Stora Enso Oyj (R Shares)   9,284 
 37,312      Sumitomo Bakelite Co Ltd   1,028 
 1,445,932      Sumitomo Chemical Co Ltd   4,786 
 341,485      Sumitomo Metal Mining Co Ltd   10,591 
 38,821   e  Sumitomo Osaka Cement Co Ltd   1,255 
 9,467      Sumitomo Seika Chemicals Co Ltd   306 
 20,512   *,e  Sumitomo Titanium Corp   175 
 507,368   *  Summit Materials, Inc   8,392 
 175,660      SunCoke Energy, Inc   601 
 2,444,500   *,†,e  Superb Summit International Group Ltd   3 
 35,806      Supreme Industries Ltd   682 
 519,139      Suzano Papel e Celulose S.A.   4,211 
 564,925      Svenska Cellulosa AB (B Shares)   7,745 
 22,451      Symrise AG.   3,101 
 36,000      T Hasegawa Co Ltd   724 
 844,751      TA Chen Stainless Pipe   576 
 264      Taekwang Industrial Co Ltd   147 
 84,407      Taiheiyo Cement Corp   2,155 
 2,488,345      Taiwan Cement Corp   3,580 
 754,000      Taiwan Fertilizer Co Ltd   1,326 
 440,725      Taiwan Hon Chuan Enterprise Co Ltd   841 
 756,346      Taiwan Styrene Monomer   424 
104

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES       COMPANY  VALUE
(000)
 
 18,600      Taiyo Ink Manufacturing Co Ltd  $974 
 267,319   e  Taiyo Nippon Sanso Corp   4,110 
 13,655      Takasago International Corp   283 
 5,300   *,e  Taki Chemical Co Ltd   364 
 76,614      Takiron Co Ltd   509 
 55,200      Tangshan Jidong Cement Co Ltd   126 
 55,663      Tata Chemicals Ltd   227 
 184,544      Tata Steel Ltd   904 
 18,546      Tayca Corp   255 
 34,254      Technosemichem Co Ltd   1,333 
 438,347      Teck Cominco Ltd   6,103 
 157,246      Teijin Ltd   2,439 
 16,600      Tenma Corp   280 
 128,766   *  Teranga Gold Corp   1,358 
 29,735   *  Tessenderlo Chemie NV   1,116 
 3,108,325      ThyssenKrupp AG.   15,640 
 2,818,000      Tiangong International Co Ltd   906 
 58,640      Tianqi Lithium Corp   172 
 51,328   *,e  TimkenSteel Corp   182 
 654,959      Tipco Asphalt PCL   315 
 37,589      Titan Cement International S.A.   487 
 111,303      Toagosei Co Ltd   1,193 
 35,724      Toho Titanium Co Ltd   230 
 209,929   e  Tokai Carbon Co Ltd   2,245 
 9,600      Tokushu Tokai Holdings Co Ltd   456 
 65,241      Tokuyama Corp   1,573 
 34,714      Tokyo Ohka Kogyo Co Ltd   1,797 
 104,104   e  Tokyo Steel Manufacturing Co Ltd   709 
 572,750      Ton Yi Industrial Corp   198 
 122,983   b  Tong Yang Major Corp   114 
 52,400      Tongkun Group Co Ltd   107 
 619,800      Tongling Nonferrous Metals Group Co Ltd   204 
 18,000      Topy Industries Ltd   196 
 1,384,392      Toray Industries, Inc   6,334 
 93,286   *  Torex Gold Resources, Inc   1,319 
 234,473      Tosoh Corp   3,807 
 5,900   *  Toyo Gosei Co Ltd   416 
 41,000      Toyo Ink Manufacturing Co Ltd   785 
 176,701      Toyo Seikan Kaisha Ltd   1,748 
 90,148      Toyobo Co Ltd   1,242 
 5,815,900      TPI Polene PCL   247 
 299,500      Transfar Zhilian Co Ltd   248 
 33,406   *  Trecora Resources   205 
 44,795      Tredegar Corp   666 
 50,111   e  Trinseo S.A.   1,285 
 406,407      Tronox Holdings plc   3,198 
 468,000      TSRC Corp   288 
 927,259      Tung Ho Steel Enterprise Corp   916 
 1,104,821   *,e  Turquoise Hill Resources Ltd   938 
 112,526      UBE Industries Ltd   1,900 
 198,992      UFP Industries, Inc   11,245 
 16,340   *  UFP Technologies, Inc   677 
 106,913      Ultra Tech Cement Ltd   5,886 
 30,764      Umicore S.A.   1,280 
105

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES       COMPANY  VALUE
(000)
 
 46,519      Uniao de Industrias Petroquimicas S.A.  $231 
 15,139      Unid Co Ltd   578 
 249,799      United Phosphorus Ltd   1,709 
 1,634      United States Lime & Minerals, Inc   147 
 341,058   e  United States Steel Corp   2,503 
 664,650      UPC Technology Corp   288 
 504,109      UPM-Kymmene Oyj   15,344 
 44,448   *  US Concrete, Inc   1,291 
 1,367,973      USI Corp   746 
 393,484      Usinas Siderurgicas de Minas Gerais S.A. (Preference)   703 
 3,530,243      Vale S.A.   37,157 
 10,063   *,e  Vallourec S.A.   200 
 54,770      Valvoline, Inc   1,043 
 33,275   g  Verallia S.A.   884 
 61,494      Verso Corp   485 
 33,369   *  Vetropack Holding AG.   2,053 
 36,935   *  Victoria Gold Corp   416 
 96,629      Victrex plc   2,282 
 23,388      Vinati Organics Ltd   425 
 200,920      Vinythai PCL (Foreign)   145 
 108,597      Voestalpine AG.   2,862 
 125,683      Vulcan Materials Co   17,035 
 369,396      Wacker Chemie AG.   35,848 
 551,821   *,e  Wallbridge Mining Co Ltd   423 
 187,400      Wanhua Chemical Group Co Ltd   1,919 
 83,729      Warrior Met Coal, Inc   1,430 
 28,800      Weihai Guangwei Composites Co Ltd   303 
 151,526   *  Wesdome Gold Mines Ltd   1,430 
 5,652,491      West China Cement Ltd   837 
 65,254   e  West Fraser Timber Co Ltd   3,032 
 308,362      Western Areas NL   457 
 403,724   *  Westgold Resources Ltd   695 
 11,577      Westlake Chemical Corp   732 
 360,816      WestRock Co   12,535 
 470,402      Wheaton Precious Metals Corp   23,079 
 2,740,838   e  Wienerberger AG.   72,432 
 35,469      Winpak Ltd   1,211 
 57,585   *  Worthington Industries, Inc   2,348 
 1,018,213      WR Grace and Co   41,024 
 43,800      Xiamen Tungsten Co Ltd   87 
 324,133      Yamama Cement Co   2,247 
 886,056      Yamana Gold, Inc   5,037 
 45,605   e  Yamato Kogyo Co Ltd   1,117 
 122,904      Yanbu Cement Co   1,186 
 243,843      Yanbu National Petrochemical Co   3,823 
 23,533      Yara International ASA   906 
 264,974      Yeun Chyang Industrial Co Ltd   210 
 873,220      Yieh Phui Enterprise   297 
 130,480      Yintai Gold Co Ltd   203 
 22,255      Yodogawa Steel Works Ltd   399 
 8,073      Youlchon Chemical Co Ltd   107 
 418      Young Poong Corp   168 
 231,000   *,†,e  Youyuan International Holdings Ltd    0^
 2,724,849      Yuen Foong Yu Paper Manufacturing Co Ltd   1,626 
106

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES       COMPANY  VALUE
(000)
 
 383,113      Yule Catto & Co plc  $1,563 
 39,433      Yunnan Energy New Material Co Ltd   534 
 40,939   *  Zaklady Azotowe w Tarnowie-Moscicach S.A.   257 
 543,216      Zeon Corp   5,697 
 1,043,500      Zhaojin Mining Industry Co Ltd   1,283 
 61,853      Zhejiang Huayou Cobalt Co Ltd   317 
 216,700      Zhejiang Juhua Co Ltd   216 
 191,100      Zhejiang Longsheng Group Co Ltd   383 
 205,900      Zhongjin Gold Corp Ltd   306 
 25,005      Zignago Vetro S.p.A.   392 
 5,600,931      Zijin Mining Group Co Ltd   3,580 
 1,324,100      Zijin Mining Group Co Ltd (Class A)   1,208 
        TOTAL MATERIALS   4,877,351 
              
MEDIA & ENTERTAINMENT - 7.1%        
 1,672,984      Activision Blizzard, Inc   135,428 
 20,513      Addcn Technology Co Ltd   145 
 223,179   *  Adevinta ASA   3,835 
 7,257      AfreecaTV Co Ltd   364 
 167   *  Agora, Inc (ADR)   7 
 7,000   e  Akatsuki, Inc   309 
 5,857,467   *,e  Alibaba Pictures Group Ltd   874 
 513,432   *  Alphabet, Inc (Class A)   752,486 
 852,237   *  Alphabet, Inc (Class C)   1,252,447 
 585,422   *  Altice NV (Class A)   2,787 
 478,948   *  Altice USA, Inc   12,453 
 95,700   *,e  Amazia, Inc   3,235 
 49,003   e  AMC Entertainment Holdings, Inc   231 
 102,811   *  AMC Networks, Inc   2,540 
 28,240      Amuse, Inc   652 
 102,269      Antena 3 de Television S.A.   270 
 1,562      APG SGA S.A.   314 
 147,636      Arnoldo Mondadori Editore S.p.A.   196 
 443,871   g  Ascential plc   1,684 
 2,841,548   g  Auto Trader Group plc   20,631 
 29,933   e  Autohome, Inc (ADR)   2,874 
 37,859      Avex Group Holdings, Inc   353 
 248,829   *  Baidu, Inc (ADR)   31,499 
 87,000      Beijing Enlight Media Co Ltd   214 
 73,000      Beijing Kunlun Tech Co Ltd   281 
 8,700   *,e  Bengo4.com, Inc   928 
 109,500   *,e  Bilibili, Inc (ADR)   4,555 
 31,741   *,e  Bitauto Holdings Ltd (ADR)   500 
 14,831   *,e  Black Diamond Therapeutics, Inc   448 
 1,374,964      Borussia Dortmund GmbH & Co KGaA   8,245 
 16,779   *,e  Boston Omaha Corp   268 
 983      Cable One, Inc   1,853 
 61,270      Cairo Communication S.p.A.   91 
 97,726      Capcom Co Ltd   5,454 
 32,954   *,e  Cardlytics, Inc   2,326 
 146,103   *  Cargurus, Inc   3,160 
 108,903   *  Cars.com, Inc   880 
 325,488      carsales.com Ltd   4,876 
 33,774      CD Projekt Red S.A.   3,657 
107

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES       COMPANY  VALUE
(000)
 
 93,735   *  Central European Media Enterprises Ltd (Class A)  $402 
 246,949   *,e  Central European Media Enterprises Ltd (Class A) (NASDAQ)   1,035 
 1,032,618      Central Retail Corp PCL   852 
 297,620   *  Charter Communications, Inc   185,816 
 37,662      Cheil Communications, Inc   675 
 161,865   *,†  Chennai Super Kings Cricket Ltd   31 
 12,100      China Film Co Ltd   25 
 142,800   *,e,g  China Literature Ltd   1,077 
 69,100      China South Publishing & Media Group Co Ltd   111 
 44,400      Chinese Universe Publishing and Media Group Co Ltd   76 
 171,065   e  Cinemark Holdings, Inc   1,711 
 69,534   e  Cineplex Galaxy Income Fund   376 
 1,157,173   e  Cineworld Group plc   605 
 19,450      CJ CGV Co Ltd   373 
 23,132      CJ Hellovision Co Ltd   76 
 55,043      Cogeco Communications, Inc   4,514 
 13,815      Cogeco, Inc   914 
 65,618   *,e  COLOPL, Inc   560 
 8,264      Com2uSCorp   809 
 13,711,059      Comcast Corp (Class A)   634,274 
 98,063   *  comScore, Inc   200 
 2,118,849   *  Conyers Park II Acquisition Corp   22,566 
 66,700   *  COOKPAD, Inc   237 
 519,280      Corus Entertainment, Inc   1,127 
 225,565      CTS Eventim AG.   10,902 
 80,410      CyberAgent, Inc   4,965 
 136,956      Cyfrowy Polsat S.A.   959 
 43,931      Daiichikosho Co Ltd   1,411 
 1,076   *,e  Daily Journal Corp   260 
 173,833   e  Daily Mail & General Trust plc   1,458 
 189,911      Dena Co Ltd   3,495 
 198,728      Dentsu, Inc   5,866 
 77,914   *,e  DHI Group, Inc   176 
 77,964      Dip Corp   1,606 
 31,163   *,e  Discovery, Inc (Class A)   678 
 46,198   *  Discovery, Inc (Class C)   905 
 380,269   *  DISH Network Corp (Class A)   11,039 
 262,707      Domain Holdings Australia Ltd   703 
 11,322      Echo Marketing, Inc   266 
 677,334   *  Electronic Arts, Inc   88,331 
 229,821   *  Embracer Group AB   4,269 
 664,810      Entercom Communications Corp (Class A)   1,070 
 353,479   e  Entravision Communications Corp (Class A)   537 
 242,733   *,e  Eros International plc   536 
 122,678      Euromoney Institutional Investor plc   1,268 
 204,793      Eutelsat Communications   1,995 
 100,531   *,e  Eventbrite Inc   1,091 
 56,531   *  EverQuote Inc   2,184 
 88,911      EW Scripps Co (Class A)   1,017 
 52,129      F@N Communications, Inc   240 
 6,094,862   *  Facebook, Inc   1,596,244 
 61,898   *  Fluent, Inc   153 
 926,540      Focus Media Information Technology Co Ltd   1,103 
108

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES       COMPANY  VALUE
(000)
 
 254,064      Fox Corp (Class A)  $7,071 
 237,991      Fox Corp (Class B)   6,657 
 24,187   *  Frontier Developments plc   849 
 405,755      Future plc   10,159 
 18,470   *,e  Gaia, Inc   182 
 21,848   e  Gakken Co Ltd   337 
 271,004   e  Gannett Co, Inc   352 
 3,700      G-bits Network Technology Xiamen Co Ltd   340 
 39,500      Giant Network Group Co Ltd   112 
 11,800   *,e  giftee, Inc   427 
 596,304   *  Glu Mobile, Inc   4,577 
 30,094   e  Gourmet Navigator, Inc   207 
 123,884   *  Gray Television, Inc   1,706 
 123,150      Gree, Inc   599 
 2,301,627   e  Grupo Televisa S.A.   2,844 
 4,439,777      Grupo Televisa SAB (ADR)   27,438 
 48,143   *  GungHo Online Entertainment Inc   1,037 
 182,437      Hakuhodo DY Holdings, Inc   2,359 
 16,496   *  Hemisphere Media Group, Inc   143 
 5,800   *  Heroz, Inc   197 
 270,000      Homeland Interactive Technology Ltd   183 
 254,630   e  HT&E Ltd   265 
 31,800   *,e  HUYA, Inc (ADR)   762 
 40,345      Hyundai Hy Communications & Network Co   117 
 408,990   *  IBN18 Broadcast Ltd   159 
 176,470   *  iClick Interactive Asia Group Ltd (ADR)   1,177 
 389,200   *,e,g  iDreamSky Technology Holdings Ltd   235 
 827,824   e  IGG, Inc   951 
 235,072   *,e  iHeartMedia, Inc   1,909 
 111,300   g  IMAX China Holding, Inc   181 
 79,798   *  Imax Corp   954 
 42,163      Info Edge India Ltd   2,082 
 1,364,980      Informa plc   6,616 
 35,617      Innocean Worldwide, Inc   1,626 
 42,770      Inox Leisure Ltd   157 
 56,854      International Games System Co Ltd   1,521 
 455,962      Interpublic Group of Cos, Inc   7,601 
 43,788      IPSOS   1,095 
 115,800   *,e  IQIYI, Inc (ADR)   2,615 
 13,556   *,e  Itokuro, Inc   159 
 8,215,176      ITV plc   7,162 
 129,597   e  JC Decaux S.A.   2,240 
 4,507      Jcontentree Corp   98 
 198,151   *  JDE Peet’s BV   8,058 
 6,648      John Wiley & Sons, Inc (Class A)   211 
 32,427   *  Just Dial Ltd   168 
 563,610   *,e  Juventus Football Club S.p.A.   562 
 23,098      JYP Entertainment Corp   750 
 55,762   e  Kadokawa Dwango Corp   1,478 
 103,580   e  Kakaku.com, Inc   2,731 
 28,667      Kakao Corp   8,914 
 291,500   e  Kamakura Shinsho Ltd   2,562 
 14,571   e  Kinepolis Group NV   518 
 36,184   *  KLab, Inc   325 
109

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES       COMPANY  VALUE
(000)
 
 70,071   e  Konami Corp  $3,031 
 20,060      KT Skylife Co Ltd   160 
 56,533   e  Lagardere S.C.A.   1,397 
 447,500      Leo Group Co Ltd   191 
 1,216,767   *,e  Leyou Technologies Holdings Ltd   512 
 8,406   *,e  Liberty Braves Group (Class A)   176 
 140,505   *  Liberty Braves Group (Class C)   2,952 
 36,523   *  Liberty Broadband Corp (Class A)   5,179 
 150,157   *  Liberty Broadband Corp (Class C)   21,453 
 194,001   *  Liberty Global plc (Class A)   4,076 
 37,070   *  Liberty Media Group (Class A)   1,242 
 376,729   *  Liberty Media Group (Class C)   13,664 
 117,791   *  Liberty SiriusXM Group (Class A)   3,907 
 251,128   *  Liberty SiriusXM Group (Class C)   8,307 
 126,816   *  Liberty TripAdvisor Holdings, Inc   219 
 47,020   *  LINE Corp   2,393 
 88,057   *,e  Lions Gate Entertainment Corp (Class A)   835 
 161,767   *  Lions Gate Entertainment Corp (Class B)   1,411 
 211,270   *  Live Nation, Inc   11,383 
 74,644   *,e  LiveXLive Media, Inc   194 
 55,875   e  Loral Space & Communications, Inc   1,023 
 39,694      M6-Metropole Television   474 
 56,483      Macromill, Inc   408 
 27,800   *  Madison Square Garden Co   4,183 
 25,949   *  Madison Square Garden Entertainment Corp   1,777 
 569,737   *  Mail.Ru Group Ltd   15,611 
 616,700      Major Cineplex Group PCL (Foreign)   302 
 53,590      Mango Excellent Media Co Ltd   533 
 42,028   e  Marcus Corp   325 
 30,958      Marvelous, Inc   236 
 1,626,591   *  Match Group, Inc   179,982 
 819,876   e  Mediaset Espana Comunicacion SA   3,036 
 332,777   *,e  Mediaset S.p.A.   638 
 294,268      Megacable Holdings SAB de C.V.   847 
 46,179      Meredith Corp   606 
 46,790      Mixi Inc   1,262 
 403,697   g  Mobvista, Inc   199 
 75,242   *  Modern Times Group AB (B Shares)   1,053 
 74,300      Momo, Inc (ADR)   1,022 
 55,325   *,e  MSG Networks, Inc   529 
 21,100      MTI Ltd   178 
 211,543      MultiChoice Group Ltd   1,222 
 71,400      NanJi E-Commerce Co Ltd   181 
 130,528   e  National CineMedia, Inc   354 
 199,792      Naver Corp   50,771 
 8,312      NCsoft   5,728 
 528,134      NetDragon Websoft, Inc   1,157 
 41,800      Netease.com (ADR)   19,005 
 863,026   *  Netflix, Inc   431,539 
 10,748   *,e,g  Netmarble Corp   1,521 
 3,060      New Work SE   935 
 236,447      New York Times Co (Class A)   10,118 
 75,917      News Corp (Class A)   1,064 
 30,609      News Corp (Class B)   428 
110

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES       COMPANY  VALUE
(000)
 
 379,060   *  Nexon Co Ltd  $9,455 
 66,490      Nexstar Media Group Inc   5,979 
 75,308   *  Next Co Ltd   319 
 9,076   *  NHN Entertainment Corp   576 
 1,692,298      Nine Entertainment Co Holdings Ltd   2,141 
 639,208   *  Ninety One plc   1,676 
 235,132      Nintendo Co Ltd   133,247 
 74,443      Nordic Entertainment Group AB   3,155 
 1,155,000      NOVA Group Holdings Ltd   20 
 92,600      Omnicom Group, Inc   4,584 
 665,407      oOh!media Ltd   587 
 17,400      OPT, Inc   234 
 82,732      Paradox Interactive AB   2,805 
 8,731   *  Pearl Abyss Corp   1,504 
 468,030   e  Pearson plc   3,320 
 113,250      Perfect World Co Ltd   556 
 573,730   *  Pinterest, Inc   23,816 
 1,640,505      Plan B Media PCL   304 
 146,600   *,e  PR Times, Inc   3,965 
 244,140   *  Promotora de Informaciones S.A.   115 
 307,753   e  ProSiebenSat. Media AG.   4,033 
 61,008      Proto Corp   739 
 3,750,998      PT Media Nusantara Citra Tbk   182 
 694,993      PT Multimedia Servicos de Telecomunicacoes e Multimedia SGPS S.A.   2,464 
 5,866,280      PT Surya Citra Media Tbk   483 
 28,794      Publicis Groupe S.A.   928 
 38,632      PVR Ltd   634 
 164,462      Quebecor, Inc   4,114 
 108,077   *  QuinStreet, Inc   1,712 
 52,754   *,e  Qutoutiao, Inc (ADR)   116 
 108,162   g  RAI Way S.p.A   687 
 48,765      REA Group Ltd   3,883 
 1,729,052      Rightmove plc   13,978 
 169,606   *  Roku, Inc   32,022 
 50,600   e,g  Rovio Entertainment Oyj   363 
 22,453   *,e  RPA Holdings, Inc   182 
 430,500      RS PCL   251 
 3,053   e  Saga Communications, Inc   61 
 79,478      Sanoma-WSOY Oyj   1,018 
 33,372   *  Saudi Research & Marketing Group   702 
 91,684      Schibsted ASA (B Shares)   3,653 
 46,667      Scholastic Corp   980 
 253,350   g  Scout24 AG.   22,099 
 238,445   *  Sea Ltd (ADR)   36,730 
 1,000,000   e  Septeni Holdings Co Ltd   3,003 
 357,547      SES Global S.A.   2,531 
 108,170      Shanghai Oriental Pearl Group Co Ltd   154 
 434,327   *,e  Shaw Communications, Inc (B Shares)   7,926 
 10,101   e  Shochiku Co Ltd   1,478 
 30,392   *  Sina Corp   1,295 
 75,101   e  Sinclair Broadcast Group, Inc (Class A)   1,444 
 1,802,500   e  Singapore Press Holdings Ltd   1,381 
 1,751,898   e  Sirius XM Holdings, Inc   9,390 
111

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES       COMPANY  VALUE
(000)
 
 142,300      Sky Perfect Jsat Corp  $622 
 18,206   *  SM Entertainment Co   555 
 617,600   *,†,e  SMI Holdings Group Ltd   1 
 58,697      Smiles Fidelidade S.A.   146 
 559,750   *  Snap, Inc   14,615 
 47,454   e  Societe Television Francaise 1   290 
 61,540      Soft-World International Corp   182 
 30,341   *  Sohu.com Ltd (ADR)   603 
 2,971,154      Southern Cross Media Group   321 
 248,436   *  Spotify Technology S.A.   60,263 
 63,900      Square Enix Co Ltd   4,229 
 30,972   *  Stillfront Group AB   3,869 
 42,135   *,e  Storytel AB   1,175 
 31,604      Stroer Out-of-Home Media AG.   2,455 
 353,050   *  Take-Two Interactive Software, Inc   58,331 
 3,034      Tamedia AG.   219 
 116,448   *  TechTarget, Inc   5,119 
 51,600      Tecmo Koei Holdings Co Ltd   2,489 
 635,858      TEGNA, Inc   7,471 
 42,791      Telenet Group Holding NV   1,661 
 342,096      Television Broadcasts Ltd   297 
 3,311      TEN Square Games S.A.   493 
 9,723,859      Tencent Holdings Ltd   656,782 
 1,344,700   *  Tencent Music Entertainment (ADR)   19,861 
 9,500   e  Toei Animation Co Ltd   620 
 6,584      Toei Co Ltd   1,097 
 77,170      Toho Co Ltd   3,182 
 36,600      Tokyo Broadcasting System, Inc   632 
 167,600   *  Tongdao Liepin Group   419 
 25,316   e  Tribune Publishing Co   295 
 135,378      TripAdvisor, Inc   2,652 
 178,045   *  TrueCar, Inc   890 
 225,291   *  Tuas Ltd   86 
 24,551      TV Asahi Corp   390 
 6,500   *  TV Tokyo Corp   149 
 2,319,299   *  Twitter, Inc   103,209 
 576,946   *  Ubisoft Entertainment   51,999 
 10,900   *,e  UUUM, Inc   234 
 17,458      ValueCommerce Co Ltd   586 
 32,335   *,e  Vector, Inc   330 
 15,741      ViacomCBS, Inc (Class A)   477 
 1,110,291      ViacomCBS, Inc (Class B)   31,099 
 77,010      Village Roadshow Ltd   121 
 640,329      Vivendi Universal S.A.   17,884 
 5,108,717      Walt Disney Co   633,890 
 51,100   *  Wanda Film Holding Co Ltd   134 
 14,143   *  Webzen, Inc   426 
 29,198   *,e  Weibo Corp (ADR)   1,064 
 8,347      WeMade Entertainment Co Ltd   266 
 98,845   *  WideOpenWest, Inc   513 
 73,427      World Wrestling Entertainment, Inc (Class A)   2,972 
 6,700      Wowow, Inc   178 
 1,636,382      WPP plc   12,852 
112

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES       COMPANY  VALUE
(000)
 
 62,200      Wuhu Shunrong Sanqi Interactive Entertainment Network Technology Co Ltd  $364 
 2,001,201      Yahoo! Japan Corp   13,367 
 902,012   *  Yandex NV   58,856 
 127,039   *  Yelp, Inc   2,552 
 9,189      YG Entertainment, Inc   453 
 57,300      Youzu Interactive Co Ltd   148 
 446,794      ZEE Telefilms Ltd   1,270 
 35,450      Zenrin Co Ltd   382 
 63,000      ZIGExN Co Ltd   207 
 85,998   *  Zillow Group, Inc (Class A)   8,732 
 233,310   *,e  Zillow Group, Inc (Class C)   23,702 
 1,300,442   *  Zynga, Inc   11,860 
        TOTAL MEDIA & ENTERTAINMENT   8,012,745 
              
PHARMACEUTICALS, BIOTECHNOLOGY & LIFE SCIENCES - 8.0%        
 249,413   *,e  10X Genomics, Inc   31,097 
 677,500   *,g  3SBio, Inc   768 
 50,698   *,e  89bio, Inc   1,301 
 32,464   *  AB Science S.A.   477 
 6,161,364      AbbVie, Inc   539,674 
 298,772      Abcam plc   4,719 
 86,546   *  Abeona Therapeutics, Inc   88 
 26,446   *  ABLBio, Inc   699 
 461,011   *  Acadia Pharmaceuticals, Inc   19,017 
 181,202   *,e  Accelerate Diagnostics, Inc   1,932 
 76,980   *  Acceleron Pharma, Inc   8,663 
 128,738   *,e  AcelRx Pharmaceuticals, Inc   183 
 111,692   *  Adaptive Biotechnologies Corp   5,432 
 51,863      Adcock Ingram Holdings Ltd   120 
 50,771   *,e  ADMA Biologics, Inc   121 
 62,996   *  Aduro Biotech, Inc   153 
 146,872   *  Adverum Biotechnologies, Inc   1,513 
 37,126   *  Aeglea BioTherapeutics, Inc   263 
 180,532   *,e  Aerie Pharmaceuticals, Inc   2,125 
 98,113   *,e  Affimed NV   333 
 139,503   *,e  Agenus, Inc   558 
 134,932   *,e  Agile Therapeutics, Inc   410 
 55,528      Agilent Technologies, Inc   5,605 
 102,767   *  Agios Pharmaceuticals, Inc   3,597 
 37,560   *,e  Aimmune Therapeutics, Inc   1,294 
 19,661      Ajanta Pharma Ltd   430 
 39,791   *,e  Akcea Therapeutics, Inc   722 
 469,530   *  Akebia Therapeutics, Inc   1,179 
 29,194   *  Akero Therapeutics, Inc   899 
 10,504   *  Akouos, Inc   240 
 39,062   *  Albireo Pharma, Inc   1,304 
 75,281   *,†,e  Alder Biopharmaceuticals Inc   66 
 93,519   *,e  Alector, Inc   985 
 41,918      Alembic Pharmaceuticals Ltd   534 
 247,722   *  Alexion Pharmaceuticals, Inc   28,347 
 7,356   *  ALK-Abello AS   2,419 
 77,325   *  Alkermes plc   1,281 
 26,493   *,e  Allakos, Inc   2,158 
113

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES       COMPANY  VALUE
(000)
 
 507,032      Alliance Pharma plc  $484 
 73,997   *  Allogene Therapeutics, Inc   2,790 
 21,380   *  Allovir, Inc   588 
 155,030   *  Alnylam Pharmaceuticals, Inc   22,572 
 16,355   *  Alteogen, Inc   2,510 
 6,897   *  ALX Oncology Holdings, Inc   260 
 48,085   *,e  AMAG Pharmaceuticals, Inc   452 
 1,038,524      Amgen, Inc   263,951 
 13,764   *  Amicogen, Inc   512 
 998,826   *  Amicus Therapeutics, Inc   14,103 
 90,650   *  Amneal Pharmaceuticals, Inc   352 
 89,655   *,e  Amphastar Pharmaceuticals, Inc   1,681 
 48,216   *,e  AnaptysBio, Inc   711 
 44,744   *,e  Anavex Life Sciences Corp   204 
 137,672   *,e  AnGes MG, Inc   1,894 
 12,758   *  ANI Pharmaceuticals, Inc   360 
 24,442   *  Anika Therapeutics, Inc   865 
 10,700   *  Annexon, Inc   323 
 5,627   *  Anterogen Co Ltd   253 
 2,796,000   *,†  Anxin-China Holdings Ltd   4 
 82,769   *,e  Apellis Pharmaceuticals, Inc   2,497 
 58,100      Apeloa Pharmaceutical Co Ltd   204 
 458,101   *,e  Aphria, Inc   2,033 
 33,788   *,e  Applied Genetic Technologies Corp   164 
 8,933   *  Applied Molecular Transport, Inc   284 
 11,865   *  Applied Therapeutics, Inc   246 
 6,590   *,e  Aprea Therapeutics, Inc   159 
 65,027   *,e  Aptinyx, Inc   220 
 74,846   *,e  Aquestive Therapeutics, Inc   363 
 25,165   *,e  Arcturus Therapeutics Holdings, Inc   1,080 
 93,276   *,e  Arcus Biosciences, Inc   1,599 
 14,134   *,e  Arcutis Biotherapeutics, Inc   414 
 88,539   *,e  Ardelyx, Inc   465 
 188,896   *  Arena Pharmaceuticals, Inc   14,128 
 41,591   *  Argenx SE   10,987 
 242,521   *,e  Arrowhead Pharmaceuticals Inc   10,443 
 35,502   *  Arvinas, Inc   838 
 292,000   *,g  Ascletis Pharma, Inc   105 
 20,596      ASKA Pharmaceutical Co Ltd   278 
 186,557   *  Aspen Pharmacare Holdings Ltd   1,332 
 66,127   *,e  Aspira Women’s Health, Inc   204 
 42,599   *  Assembly Biosciences, Inc   700 
 1,863,984      Astellas Pharma, Inc   27,786 
 4,913      AstraZeneca Pharma India Ltd   288 
 3,563,950      AstraZeneca plc   389,413 
 1,091,494      AstraZeneca plc (ADR)   59,814 
 26,000      Asymchem Laboratories Tianjin Co Ltd   1,009 
 174,878   *  Atara Biotherapeutics, Inc   2,266 
 24,202   *  ATGen Co Ltd   295 
 102,580   *  Athenex, Inc   1,241 
 155,609   *,e  Athersys, Inc   303 
 28,242   *,e  Atreca, Inc   395 
 117,027   *  Aurinia Pharmaceuticals, Inc   1,723 
 340,570      Aurobindo Pharma Ltd   3,688 
114

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES       COMPANY  VALUE
(000)
 
 5,050,113   *  Avantor, Inc  $113,577 
 6,333   *,e  Avenue Therapeutics, Inc   69 
 22,374   *  AVEO Pharmaceuticals, Inc   133 
 214,612   *,e  Avid Bioservices, Inc   1,635 
 14,491   *  Avidity Biosciences, Inc   408 
 121,055   *  Avita Medical Ltd   606 
 27,698   *  Avrobio, Inc   361 
 21,981   *,e  Axcella Health, Inc   102 
 199,024   *,e  Axsome Therapeutics, Inc   14,180 
 24,129   *,e  Aytu BioScience, Inc   29 
 5,790      Bachem Holding AG.   2,457 
 13,453   *,e  Basilea Pharmaceutica   741 
 297,327   *  Bausch Health Cos, Inc   4,622 
 64,095   *,e  Bavarian Nordic AS   1,982 
 1,346,584      Bayer AG.   83,076 
 33,359   *,e  Beam Therapeutics, Inc   821 
 12,706   *  BeiGene Ltd (ADR)   3,640 
 167,060      Beijing Tiantan Biological Products Corp Ltd   977 
 238,000   e  Beijing Tong Ren Tang Chinese Medicine Co Ltd   257 
 74,100      Beijing Tongrentang Co Ltd   294 
 9,616   *,e  Bellerophon Therapeutics, Inc   98 
 46,137   *,e  BELLUS Health, Inc   105 
 120,561   *  Berkeley Lights, Inc   9,206 
 21,800      Betta Pharmaceuticals Co Ltd   365 
 12,286   *,e  Beyondspring Inc   164 
 63,400      BGI Genomics Co Ltd   1,346 
 24,334   *  Binex Co Ltd   648 
 37,664   e,g  BioArctic AB   374 
 257,793      Biocon Ltd   1,564 
 503,434   *,e  BioCryst Pharmaceuticals, Inc   1,729 
 485,202   *  BioDelivery Sciences International, Inc   1,810 
 17,894      Biogaia AB (B Shares)   1,158 
 31,375   *  Biogen, Inc   8,900 
 90,950   *,e  Biohaven Pharmaceutical Holding Co Ltd   5,913 
 595,210   *  BioMarin Pharmaceutical, Inc   45,284 
 1   *  BioNTech SE (ADR)    0^
 6,538   *  Bio-Rad Laboratories, Inc (Class A)   3,370 
 6,762   *  Biospecifics Technologies Corp   357 
 64,495      Biotage AB   1,277 
 6,624      Bio-Techne Corp   1,641 
 320,741   *  Biovitrum AB   7,738 
 20,081   *,e  Bioxcel Therapeutics Inc   871 
 112,510   *  Bluebird Bio, Inc   6,070 
 87,442   *  Blueprint Medicines Corp   8,106 
 5,035      Boiron S.A.   241 
 17,974      Boryung Pharmaceutical Co Ltd   237 
 23,676   *,e  BrainStorm Cell Therapeutics, Inc   401 
 99,380   *,e  Bridgebio Pharma, Inc   3,729 
 4,020,119      Bristol-Myers Squibb Co   242,373 
 21,629      Bruker BioSciences Corp   860 
 30,608      Bukwang Pharmaceutical Co Ltd   745 
 41,254   *,e  Cabaletta Bio, Inc   447 
 52,734   *,e  Calithera Biosciences, Inc   182 
 6,037   *,e  Calyxt, Inc   33 
115

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES       COMPANY  VALUE
(000)
 
 32,188   *,e  Camurus AB  $690 
 211,434   *,e  Canopy Growth Corp (Toronto)   3,031 
 56,647   *,g  CanSino Biologics, Inc   1,208 
 140,998   *,e  Cara Therapeutics, Inc   1,794 
 172,430   *  CareDx, Inc   6,542 
 40,442   *,e  CASI Pharmaceuticals, Inc   62 
 34,285   *,e  Cassava Sciences, Inc   395 
 49,075   *  Castle Biosciences, Inc   2,525 
 15,841   *,e  Catabasis Pharmaceuticals, Inc   98 
 678,725   *  Catalent, Inc   58,140 
 48,816   *,e  Catalyst Biosciences, Inc   210 
 87,063   *  Catalyst Pharmaceuticals, Inc   259 
 66,942   *  Cellectis S.A.   1,242 
 5,870   *  Cellivery Therapeutics, Inc   1,016 
 8,170   *  Celltrion Pharm Inc   789 
 89,905   *  Celltrion, Inc   19,776 
 11,788   *,e  Cellular Biomedicine Group, Inc   216 
 33,050   *,e  CEL-SCI Corp   421 
 294,765      Center Laboratories, Inc   697 
 8,603   *  Centogene NV   81 
 28,485   *,e  Cerecor Inc   65 
 6,265   *,e  Champions Oncology, Inc   58 
 20,500      Changchun High & New Technology Industry Group, Inc   1,116 
 78,502   *  Charles River Laboratories International, Inc   17,777 
 110,126   *,e  Charlottes Web Holdings, Inc   261 
 7,463   *  Checkmate Pharmaceuticals, Inc   86 
 42,041   *  Checkpoint Therapeutics Inc   113 
 178,274   *  ChemoCentryx, Inc   9,769 
 13,709      Chemometec A.S.   973 
 24,800      Chengdu Kanghong Pharmaceutical Group Co Ltd   166 
 100,216   *,e  Chiasma, Inc   431 
 107,619   *,e  Chimerix, Inc   268 
 1,316,000      China Grand Pharmaceutical and Healthcare Holdings Ltd   1,209 
 4,918,634      China Medical System Holdings Ltd   5,443 
 957,500   g  China Resources Pharmaceutical Group Ltd   494 
 37,900      China Resources Sanjiu Medical & Pharmaceutical Co Ltd   143 
 633,560      China Shineway Pharmaceutical Group Ltd   398 
 2,506      Chong Kun Dang Pharm Corp   228 
 6,180      Chong Kun Dang Pharmaceutical Corp   875 
 141,000      Chongqing Zhifei Biological Products Co Ltd   2,893 
 11,479      Choongwae Pharma Corp   330 
 38,030   *,e  ChromaDex Corp   153 
 756,699   *  Chugai Pharmaceutical Co Ltd   33,957 
 29,197   *  Cidara Therapeutics, Inc   83 
 342,083      Cipla Ltd   3,595 
 145,641      Clinigen Group plc   1,316 
 97,096   e  Clinuvel Pharmaceuticals Ltd   1,631 
 164,126   *,e  Clovis Oncology, Inc   957 
 94,607   *  CMG Pharmaceutical Co Ltd   358 
 10,467      CMIC Co Ltd   135 
 77,243   *  Codexis, Inc   907 
116

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES       COMPANY  VALUE
(000)
 
 23,880   *,e  Cohbar, Inc  $23 
 563,043   *  Coherus Biosciences, Inc   10,326 
 48,717   *  Collegium Pharmaceutical, Inc   1,014 
 92,471   *,e  Compugen Ltd   1,503 
 43,697   *,e  Concert Pharmaceuticals, Inc   429 
 98,791   *,e  Constellation Pharmaceuticals, Inc   2,002 
 389,126      Consun Pharmaceutical Group Ltd   168 
 48,908   *,e  ContraFect Corp   258 
 47,467   *,e  Corbus Pharmaceuticals Holdings, Inc   85 
 138,614   *,e  Corcept Therapeutics, Inc   2,413 
 62,181   *,e  CorMedix Inc   375 
 23,136   *,e  Cortexyme Inc   1,157 
 8,508   *,e  COSMO Pharmaceuticals NV   810 
 97,413   *,e  Crinetics Pharmaceuticals, Inc   1,526 
 45,231   *,e  CRISPR Therapeutics AG.   3,783 
 180,581   *,e  Cronos Group, Inc   907 
 32,838   *  CrystalGenomics, Inc   503 
 657,922      CSL Ltd   135,905 
 3,233,953      CSPC Pharmaceutical Group Ltd   6,313 
 460,355   *,g  CStone Pharmaceuticals   585 
 59,727   *  Cue Biopharma, Inc   899 
 53,307   *  Cymabay Therapeutics, Inc   386 
 184,723   *  Cytokinetics, Inc   3,999 
 95,758   *  CytomX Therapeutics, Inc   637 
 92,930      Da An Gene Co Ltd   480 
 11,031      Daewon Pharmaceutical Co Ltd   191 
 46,000      Daewoong Co Ltd   1,208 
 4,288      Daewoong Pharmaceutical Co Ltd   384 
 5,471,493      Daiichi Sankyo Co Ltd   167,963 
 12,201      Daito Pharmaceutical Co Ltd   411 
 38,568   *,e  DBV Technologies S.A.   139 
 626,385      Dechra Pharmaceuticals plc   26,045 
 67,376   *  Deciphera Pharmaceuticals, Inc   3,456 
 103,926   *  Denali Therapeutics, Inc   3,724 
 15,225      Dermapharm Holding SE   814 
 7,042   *,e  DermTech, Inc   84 
 187,781   *  Dicerna Pharmaceuticals, Inc   3,378 
 39,173      Divi S Laboratories Ltd   1,622 
 3,068      Dong-A Pharmaceutical Co Ltd   329 
 4,601      Dong-A ST Co Ltd   365 
 19,100      Dong-E-E-Jiao Co Ltd   112 
 22,405      DongKook Pharmaceutical Co Ltd   524 
 16,888   *  Dongsung Pharmaceutical Co Ltd   178 
 136,867      Dr Reddy’s Laboratories Ltd   9,585 
 226,610      Dr Reddys Laboratories Ltd (ADR)   15,763 
 334,770   *,e  Durect Corp   572 
 16,786   *,e  Dyadic International, Inc   127 
 104,559   *,e  Dynavax Technologies Corp   452 
 8,276   *  Eagle Pharmaceuticals, Inc   352 
 160,669   *  Ecofibre Ltd   291 
 139,875   *,e  Editas Medicine, Inc   3,925 
 8,056   *,e  Eidos Therapeutics, Inc   407 
 20,978   *  Eiger BioPharmaceuticals, Inc   171 
 655,490      Eisai Co Ltd   59,867 
117

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES       COMPANY  VALUE
(000)
 
 481,923   *  Elanco Animal Health, Inc  $13,460 
 1,696,052      Eli Lilly & Co   251,050 
 14,733   *,e  Eloxx Pharmaceuticals, Inc   39 
 124,031   *  Emergent Biosolutions, Inc   12,816 
 32,944   *  Enanta Pharmaceuticals, Inc   1,508 
 242,504   *  Endo International plc   800 
 4,377   *,e  Enochian Biosciences Inc   16 
 6,273   *  Enzychem Lifesciences Corp   584 
 18,837   *  Eone Diagnomics Genome Center Co Ltd   229 
 133,177   *,e  Epizyme, Inc   1,589 
 29,600      EPS Co Ltd   294 
 29,698   g  Eris Lifesciences Ltd   217 
 38,186   *,e  Esperion Thereapeutics, Inc   1,419 
 264,000      Essex Bio-technology Ltd   155 
 13,552   *,e  Eton Pharmaceuticals, Inc   107 
 23,351   e  Eurofins Scientific   18,498 
 5,983   *  Eutilex Co Ltd   179 
 11,445   *,e  Evelo Biosciences, Inc   60 
 71,276   *,e  Evofem Biosciences Inc   168 
 35,065   *,e  Evolus, Inc   137 
 158,145   *,e  Evotec AG.   4,169 
 396,819   *  Exact Sciences Corp   40,456 
 462,388   *  Exelixis, Inc   11,305 
 54,106   *,e  Exicure, Inc   95 
 542,693      Faes Farma S.A. (Sigma)   2,184 
 178,693   *  Fate Therapeutics, Inc   7,142 
 38,195      FDC Ltd   185 
 46,820   *,e  Fennec Pharmaceuticals, Inc   284 
 185,391   *  FibroGen, Inc   7,623 
 81,623   *  Five Prime Therapeutics, Inc   384 
 142,759   *,e  Flexion Therapeutics, Inc   1,486 
 216,137   *,e  Fluidigm Corp   1,606 
 13,844   *  Forma Therapeutics Holdings, Inc   690 
 145,571   *,e  Fortress Biotech, Inc   588 
 18,278   *,e  Frequency Therapeutics, Inc   351 
 15,900      Fuji Pharma Co Ltd   189 
 18,968   *,e  Fulcrum Therapeutics, Inc   150 
 39,816   *,e  G1 Therapeutics, Inc   460 
 5,637   *,e  Galapagos NV   801 
 35,974   *,e  Galectin Therapeutics, Inc   96 
 8,071   *,e  Galera Therapeutics, Inc   73 
 8,846   *  Generation Bio Co   273 
 14,780   *  Genexine Co Ltd   1,803 
 41,531   *,e  Genfit   237 
 244,082   *  Genmab A.S. (ADR)   8,936 
 158,842   *  Genmab AS   57,645 
 753,656   *,e  Genomma Lab Internacional S.A. de C.V.   738 
 26,156   *,e  Genprex, Inc   88 
 544,000   *  Genscript Biotech Corp   897 
 86,314      Genus plc   4,280 
 471,912   *,e  Geron Corp   821 
 34,840      Gerresheimer AG.   3,899 
 752,882      Gilead Sciences, Inc   47,575 
 2,597,953      GlaxoSmithKline plc   48,705 
118

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES       COMPANY  VALUE
(000)
 
 169,341      GlaxoSmithKline plc (ADR)  $6,374 
 285,369      Glenmark Pharmaceuticals Ltd   1,871 
 150,421   *  Global Blood Therapeutics, Inc   8,294 
 243,613   *,e  GlycoMimetics, Inc   748 
 49,301   *  GNI Group Ltd   1,757 
 70,139   *,e  Gossamer Bio, Inc   870 
 113,066      Granules India Ltd   590 
 5,448      Green Cross Cell Corp   189 
 5,552      Green Cross Corp   1,053 
 18,590      Green Cross Holdings Corp   371 
 4,447      Green Cross LabCell Corp   186 
 39,646   e  Grifols S.A.   1,140 
 59,292   *,e  Gritstone Oncology, Inc   157 
 20,927   *  G-treeBNT Co Ltd   475 
 60,700      Guangzhou Baiyunshan Pharmaceutical Holdings Co Ltd   270 
 8   *  GW Pharmaceuticals plc    0^
 66,577   *,e  GW Pharmaceuticals plc (ADR)   6,481 
 9,264      H Lundbeck AS   305 
 336,586   *  Halozyme Therapeutics, Inc   8,845 
 29,540   *  Han All Pharmarceutical Co   854 
 7,627      Handok Pharmaceuticals Co Ltd   208 
 99,650      Hangzhou Tigermed Consulting Co Ltd   1,512 
 3,093      Hanmi Pharm Co Ltd   723 
 39,770   *  Hansa Medical AB   1,057 
 600,000   *,g  Hansoh Pharmaceutical Group Co Ltd   2,933 
 59,262   *  Harpoon Therapeutics, Inc   1,007 
 20,366   *,e  Harrow Health, Inc   114 
 57,111   *,e  Harvard Bioscience, Inc   172 
 23,000   *  HEALIOS KK   411 
 209,890   *  Heron Therapeutics, Inc   3,111 
 78,641      Hikma Pharmaceuticals plc   2,636 
 84,259      Hisamitsu Pharmaceutical Co, Inc   4,308 
 30,589   *  Homology Medicines, Inc   327 
 21,685   *,e  Hookipa Pharma, Inc   205 
 1,161,830   *  Horizon Therapeutics Plc   90,251 
 2,548,684   *,†,e  Hua Han Bio-Pharmaceutical Holdings Ltd   20 
 130,517      Hualan Biological Engineering, Inc   1,095 
 19,700      Hubei Jumpcan Pharmaceutical Co Ltd   64 
 6,176   *  Hugel, Inc   963 
 4,890      Huons Co Ltd   261 
 33,100   *  Hutchison China MediTech Ltd (ADR)   1,069 
 183,917      Hypermarcas S.A.   977 
 117,144   *,e  iBio, Inc   238 
 40,856   *  ICON plc   7,807 
 31,681   *,e  Ideaya Biosciences, Inc   398 
 103,596   *  Idorsia Ltd   2,781 
 13,419   *,e  IGM Biosciences, Inc   990 
 8,144      Il Dong Pharmaceutical Co Ltd   117 
 360,785   *  Illumina, Inc   111,511 
 12,651      Ilyang Pharmaceutical Co Ltd   853 
 4,468   *  IMARA, Inc   91 
 39,876   *  Immunic, Inc   741 
 332,364   *  Immunogen, Inc   1,197 
119

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES       COMPANY  VALUE
(000)
 
 555,593   *  Immunomedics, Inc  $47,242 
 96,415   *  Immunovant, Inc   3,393 
 229,420   *  Incyte Corp   20,588 
 1,359,419   *  Indivior plc   2,052 
 119,572   *,e  Innate Pharma S.A.   455 
 921,500   *,g  Innovent Biologics, Inc   6,872 
 298,123   *  Innoviva, Inc   3,115 
 305,360   *,e  Inovio Pharmaceuticals, Inc   3,542 
 5,636   *  Inozyme Pharma, Inc   148 
 155,228   *  Insmed, Inc   4,989 
 147,152   *,e  Intellia Therapeutics, Inc   2,925 
 61,487   *  Intercept Pharmaceuticals, Inc   2,549 
 78,479   *  Intersect ENT, Inc   1,280 
 135,623   *  Intra-Cellular Therapies, Inc   3,480 
 21,507   *  iNtRON Biotechnology, Inc   268 
 205,066   *,e  Invitae Corp   8,890 
 160,732   *  Ionis Pharmaceuticals, Inc   7,627 
 200,827   *  Iovance Biotherapeutics, Inc   6,611 
 5,024      Ipsen   525 
 473,097   *  IQVIA Holdings, Inc   74,574 
 386,800   *,e  Ironwood Pharmaceuticals, Inc   3,479 
 7,749   *  iTeos Therapeutics, Inc   191 
 163,498   *,e  IVERIC bio, Inc   922 
 18,300   *,e  Japan Tissue Engineering Co Lt   127 
 687,721   *  Jazz Pharmaceuticals plc   98,062 
 19,096      JB Chemicals & Pharmaceuticals Ltd   257 
 67,144      JCR Pharmaceuticals Co Ltd   1,970 
 4,092      Jeil Pharmaceutical Co Ltd   152 
 159,244      Jiangsu Hengrui Medicine Co Ltd   2,108 
 34,400      Jilin Aodong Pharmaceutical Group Co Ltd   85 
 147,100      Jinyu Bio-Technology Co Ltd   585 
 4,952,862      Johnson & Johnson   737,382 
 43,000      Joincare Pharmaceutical Group Industry Co Ltd   108 
 28,528   *  Jounce Therapeutics, Inc   233 
 68,687      Jubilant Organosys Ltd   683 
 27,967      JW Holdings Corp   139 
 165,440   *  Kadmon Holdings, Inc   649 
 69,979      Kaken Pharmaceutical Co Ltd   3,207 
 48,399   *,e  Kala Pharmaceuticals, Inc   363 
 11,155   *,e  Kaleido Biosciences Inc   123 
 62,292   *,e  KalVista Pharmaceuticals Inc   784 
 72,227   *,e  Karo Pharma AB   563 
 22,589   *  Karuna Therapeutics, Inc   1,747 
 336,590   *,e  Karyopharm Therapeutics, Inc   4,914 
 6,154   *  Keros Therapeutics, Inc   237 
 78,510   *,e  Kezar Life Sciences, Inc   380 
 60,440   *  Kindred Biosciences, Inc   259 
 139,833   *  Kiniksa Pharmaceuticals Ltd   2,142 
 29,100      Kissei Pharmaceutical Co Ltd   658 
 114,514   *  Knight Therapeutics, Inc   499 
 44,171   *,e  Kodiak Sciences, Inc   2,615 
 36,079   *  Komipharm International Co Ltd   450 
 8,592      Korea United Pharm Inc   535 
 10,514   *  Krystal Biotech Inc   453 
120

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

           VALUE 
SHARES       COMPANY  (000) 
 278,491   *  Kura Oncology, Inc  $8,533 
 25,496      Kwang Dong Pharmaceutical Co Ltd   213 
 48,581      Kyorin Co Ltd   985 
 113,870      Kyowa Hakko Kogyo Co Ltd   3,240 
 4,359      L&C Bio Co Ltd   507 
 77,330   *,e  La Jolla Pharmaceutical Co   312 
 78,634      Laboratorios Almirall S.A.   881 
 59,714   *,e  Lannett Co, Inc   365 
 191,000      Lee’s Pharmaceutical Holdings Ltd   123 
 13,686   *  LegoChem Biosciences, Inc   685 
 73,607   *,e  Lexicon Pharmaceuticals, Inc   106 
 18,758   *,e  Ligand Pharmaceuticals, Inc (Class B)   1,788 
 30,780   *,e  Liquidia Technologies, Inc   151 
 23,400      Livzon Pharmaceutical Group, Inc   170 
 10,900   *,e  LogicBio Therapeutics, Inc   99 
 450,175      Lonza Group AG.   277,819 
 81,000   *  Lotus Pharmaceutical Co Ltd   227 
 97,775      Luminex Corp   2,567 
 213,783      Lupin Ltd   2,923 
 925,000   e,g  Luye Pharma Group Ltd   540 
 270,756   *  MacroGenics, Inc   6,820 
 7,852   *,e  Madrigal Pharmaceuticals, Inc   932 
 81,213   *,e  Magenta Therapeutics, Inc   552 
 178,309   *,e  MannKind Corp   335 
 24,704   *,e  Marinus Pharmaceuticals, Inc   317 
 26,231   *,e  Marker Therapeutics Inc   39 
 3,901,337   *  Mayne Pharma Group Ltd   1,097 
 48,655   *,e  MediciNova, Inc   255 
 72,710   *  Medpace Holdings, Inc   8,125 
 10,653   *  MedPacto, Inc   1,030 
 4,185      Medy-Tox, Inc   757 
 294,130      Mega Lifesciences PCL   323 
 92,637   *  MEI Pharma, Inc   289 
 44,781   *,e  MeiraGTx Holdings plc   593 
 7,321,124      Merck & Co, Inc   607,287 
 19,140      Merck KGaA   2,790 
 3,686      Merck Ltd   251 
 93,569   *  Mersana Therapeutics, Inc   1,742 
 519,905   *,e  Mesoblast Ltd   1,919 
 37,298   *  Mettler-Toledo International, Inc   36,021 
 6,259   *  Mezzion Pharma Co Ltd   897 
 28,401   *,e  Minerva Neurosciences, Inc   90 
 53,916   *  Mirati Therapeutics, Inc   8,953 
 10,626   *,e  Mirum Pharmaceuticals, Inc   205 
 16,004   *,e  Mithra Pharmaceuticals S.A.   324 
 26,375      Mochida Pharmaceutical Co Ltd   1,042 
 61,615   *  Moderna, Inc   4,359 
 24,575   *,e  Molecular Partners AG.   427 
 87,934   *  Molecular Templates, Inc   960 
 240,885   *  Momenta Pharmaceuticals, Inc   12,642 
 12,401   *,e  Morphic Holding, Inc   339 
 43,794   *  Morphosys AG.   5,542 
 98,400   *,e  Mustang Bio, Inc   310 
 66,910   *  Mylan NV   992 
121

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

           VALUE 
SHARES       COMPANY  (000) 
 68,245   *  MyoKardia, Inc  $9,304 
 111,054   *,e  Myriad Genetics, Inc   1,448 
 77,930      Nanjing King-Friend Biochemical Pharmaceutical Co Ltd   514 
 111,617   *,e  NanoString Technologies, Inc   4,989 
 25,430   *,e  NantKwest, Inc   176 
 85,255      Natco Pharma Ltd   1,101 
 268,361   *  Natera, Inc   19,386 
 205,967   *,e  Nektar Therapeutics   3,417 
 185,065   *  NeoGenomics, Inc   6,827 
 53,731   *,e  Neoleukin Therapeutics, Inc   645 
 98,677   *,e  Neubase Therapeutics, Inc   749 
 4,261   *,e  NeuroBo Pharmaceuticals, Inc   24 
 212,982   *  Neurocrine Biosciences, Inc   20,480 
 15,016   *,e  NextCure Inc   132 
 22,082   *,e  NGM Biopharmaceuticals Inc   351 
 51,702   e  Nichi-iko Pharmaceutical Co Ltd   588 
 42,500      Nippon Shinyaku Co Ltd   3,499 
 14,260   *  Nkarta, Inc   429 
 1,884,261      Novartis AG.   163,600 
 164,492   *,e  Novavax, Inc   17,823 
 1,851,078      Novo Nordisk AS   128,251 
 21,154   *  Nurix Therapeutics, Inc   738 
 34,168   *,e  Nymox Pharmaceutical Corp   84 
 122,963   *  OBI Pharma, Inc   478 
 99,868   *,e  Ocular Therapeutix, Inc   760 
 11,771   *,e  Odonate Therapeutics, Inc   158 
 93,690   *,e  Omeros Corp   947 
 83,554   *,e  Oncocyte Corp   116 
 52,788   *,e,g  Oncopeptides AB   776 
 253,000   *  Oneness Biotech Co Ltd   3,010 
 509,020      Ono Pharmaceutical Co Ltd   16,011 
 645,622   *,e  Opko Health, Inc   2,382 
 130,257   *,e  Optinose, Inc   508 
 192,217   *,e  Organigram Holdings, Inc   204 
 11,303   *,e  Organogenesis Holdings Inc   43 
 29,661   *,e  Orgenesis, Inc   150 
 7,699   *  ORIC Pharmaceuticals, Inc   193 
 23,726      Orion Oyj (Class B)   1,075 
 18,730   *  Oscotec, Inc   734 
 31,000   *,e  Osmotica Pharmaceuticals plc   168 
 144,680      Otsuka Holdings KK   6,129 
 37,892   *,e  Ovid therapeutics, Inc   218 
 60,661   *  Oxford Biomedica plc   642 
 21,972   *,e  Oyster Point Pharma, Inc   464 
 200,227   *  Pacific Biosciences of California, Inc   1,976 
 107,777   *  Pacira BioSciences Inc   6,480 
 1,430,184   *  Paion AG.   3,893 
 5,161   *  Pandion Therapeutics, Inc   59 
 68,335   *,e  Paratek Pharmaceuticals, Inc   370 
 30,210   *  Passage Bio, Inc   396 
 202,604   *,e  PDL BioPharma, Inc   638 
 29,200   *  PeptiDream, Inc   1,370 
 51,714   *  PerkinElmer, Inc   6,491 
122

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

           VALUE 
SHARES       COMPANY  (000) 
 1,168,715      Perrigo Co plc  $53,656 
 20,302   *  Personalis, Inc   440 
 12,021,204      Pfizer, Inc   441,178 
 24,929   e  Pharma Mar S.A.   3,163 
 3,921      PHARMA RESEARCH PRODUCTS Co Ltd   207 
 89,472      PharmaEngine Inc   190 
 157,480   *  PharmaEssentia Corp   546 
 69,951     Pharmally International Holding Co Ltd   68 
 54,120   *  Pharmicell Co Ltd   837 
 722,365   *,e  Pharming Group NV   805 
 30,728   *,e  PhaseBio Pharmaceuticals Inc   108 
 28,394   *,e  Phathom Pharmaceuticals, Inc   1,041 
 81,583      Phibro Animal Health Corp   1,420 
 37,111   *,e  Pieris Pharmaceuticals, Inc   77 
 1,900,579      Piramal Healthcare Ltd   32,387 
 7,496   *  Pliant Therapeutics, Inc   170 
 9,463   *  Poseida Therapeutics, Inc   84 
 108,414   *  PRA Health Sciences, Inc   10,998 
 80,716   *,e  Precision BioSciences Inc   497 
 102,262   *  Prestige Consumer Healthcare, Inc.   3,724 
 67,217   *  Prevail Therapeutics, Inc   684 
 83,715   *,†  Progenics Pharmaceuticals, Inc    0 
 24,813   *  Protagonist Therapeutics, Inc   485 
 110,222   *  Prothena Corp plc   1,101 
 37,260   *,e  Provention Bio, Inc   478 
 10,904,831      PT Kalbe Farma Tbk   1,139 
 70,606   *  PTC Therapeutics, Inc   3,301 
 47,332   *  Puma Biotechnology, Inc   478 
 37,890   *,e  QIAGEN NV   1,980 
 30,325   *  QIAGEN NV (Turquoise)   1,575 
 67,970   *  Quanterix Corp   2,293 
 125,503   *  Radius Health, Inc   1,423 
 9,692   *,e  RAPT Therapeutics, Inc   312 
 42,988   *,e  Reata Pharmaceuticals, Inc   4,188 
 184,362   e  Recipharm AB (B Shares)   3,199 
 89,671      Recordati S.p.A.   4,593 
 17,742   *,e  Recro Pharma, Inc   37 
 546,713   *  Regeneron Pharmaceuticals, Inc   306,039 
 26,690   *  REGENXBIO, Inc   735 
 28,990   *  Relay Therapeutics, Inc   1,235 
 10,791   *,e  Relmada Therapeutics, Inc   406 
 76,539   *  Repligen Corp   11,293 
 60,952   *  Replimune Group, Inc   1,403 
 86,614   *  Retrophin, Inc   1,599 
 63,698   *,e  Revance Therapeutics, Inc   1,601 
 48,059   *  REVOLUTION Medicines, Inc   1,672 
 33,238   *  Rhythm Pharmaceuticals, Inc   720 
 120,123      Richter Gedeon Rt   2,536 
 304,983   *  Rigel Pharmaceuticals, Inc   732 
 1,147,734      Roche Holding AG.   393,145 
 29,447   *  Rocket Pharmaceuticals, Inc   673 
 94,032      Royalty Pharma plc   3,956 
 55,329   *,e  Rubius Therapeutics, Inc   277 
 62,090   *  Sage Therapeutics, Inc   3,795 
123

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

           VALUE 
SHARES       COMPANY  (000) 
 12,028      Sam Chun Dang Pharm Co Ltd  $563 
 7,557      Samjin Pharmaceutical Co Ltd   186 
 37,588   *,g  Samsung Biologics Co Ltd   22,160 
 32,024   *,e  SanBio Co Ltd   625 
 273,380   *  Sangamo Therapeutics Inc   2,583 
 5,076      Sanofi India Ltd   596 
 2,484,443      Sanofi-Aventis   248,971 
 541,730      Santen Pharmaceutical Co Ltd   11,076 
 185,515   *  Sarepta Therapeutics, Inc   26,052 
 54,493      Sartorius Stedim Biotech   18,809 
 31,467   *,e  Satsuma Pharmaceuticals, Inc   122 
 58,546      Saudi Pharmaceutical Industries & Medical Appliances Corp   572 
 43,517      Sawai Pharmaceutical Co Ltd   2,196 
 41,098   *,e  Scholar Rock Holding Corp   727 
 54,680   *,e  Schrodinger, Inc   2,598 
 227,960      Scinopharm Taiwan Ltd   235 
 5,131   *  scPharmaceuticals, Inc   38 
 52,495      Searle Co Ltd   81 
 773,411   *,e  Seattle Genetics, Inc   151,349 
 17,067      Seegene, Inc   3,800 
 38,000      Seikagaku Corp   400 
 87,964   *,e  Selecta Biosciences, Inc   218 
 77,791   *,e  Seres Therapeutics, Inc   2,202 
 16,700      Shandong Buchang Pharmaceuticals Co Ltd   61 
 61,100      Shanghai Fosun Pharmaceutical Group Co Ltd   442 
 516,751      Shanghai Fosun Pharmaceutical Group Co Ltd (Hong Kong)   2,163 
 218,000      Shanghai Fudan-Zhangjiang Bio-Pharmaceutical Co Ltd   108 
 361,600      Shanghai Haixin Group Co   123 
 38,741   g  Shanghai Haohai Biological Technology Co Ltd   258 
 173,600      Shanghai RAAS Blood Products Co Ltd   210 
 25,800      Shenzhen Hepalink Pharmaceutical Group Co Ltd   86 
 68,100      Shenzhen Kangtai Biological Products Co Ltd   1,826 
 35,100      Shenzhen Salubris Pharmaceuticals Co Ltd   178 
 74,800      Shijiazhuang Yiling Pharmaceutical Co Ltd   296 
 27,510      Shilpa Medicare Ltd   209 
 26,598   *  Shin Poong Pharmaceutical Co Ltd   2,866 
 102,732      Shionogi & Co Ltd   5,499 
 31,200      Sichuan Kelun Pharmaceutical Co Ltd   102 
 4,326      Siegfried Holding AG.   2,959 
 50,538   *  SIGA Technologies, Inc   347 
 3,402,000      Sihuan Pharmaceutical Holdings   367 
 32,473   *  Silence Therapeutics plc   183 
 13,434   *,†,e  SillaJen, Inc   70 
 6,277,710      Sino Biopharmaceutical   6,874 
 65,390   *,e  Soleno Therapeutics, Inc   164 
 27,368   *,e  Solid Biosciences, Inc   56 
 312,188   *,e  Sorrento Therapeutics, Inc   3,481 
 77,908   *,e  Sosei Group   1,021 
 228,581   *  Spectrum Pharmaceuticals, Inc   933 
 11,402   *,e  Spero Therapeutics, Inc   127 
 26,707   *  SpringWorks Therapeutics, Inc   1,273 
124

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

           VALUE 
SHARES       COMPANY  (000) 
 872,000      SSY Group Ltd  $497 
 7,541      ST Pharm Co Ltd   457 
 23,769   *  STCUBE   164 
 9,296   *,e  Stoke Therapeutics, Inc   311 
 41,815      Strides Arcolab Ltd   408 
 159,913   *  Strongbridge Biopharma plc   336 
 14,212   e  Sumitomo Dainippon Pharma Co Ltd   187 
 60,338   *  Sun Pharma Advanced Research Company Ltd   142 
 725,999      Sun Pharmaceutical Industries Ltd   4,937 
 144,188   *  Supernus Pharmaceuticals, Inc   3,005 
 52,613   *,e  Sutro Biopharma, Inc   529 
 118,414   *,e  Syndax Pharmaceuticals, Inc   1,748 
 100,082   *  Syneos Health, Inc   5,320 
 92,121   g  Syngene International Ltd   693 
 68,236   *,e  Syros Pharmaceuticals, Inc   603 
 259,799   *  Taigen Biopharmaceuticals Holdings Ltd   197 
 27,027   *,e  Taiko Pharmaceutical Co Ltd   580 
 162,000   *  TaiMed Biologics, Inc   518 
 2,722      Taisho Pharmaceutical Holdings Co Ltd   179 
 52,833      Takara Bio, Inc   1,436 
 1,415,811      Takeda Pharmaceutical Co Ltd   50,605 
 101,124   *  Tanvex BioPharma, Inc   140 
 40,365   *  TCR2 Therapeutics Inc   820 
 13,172      Tecan Group AG.   6,551 
 723,730   *  Teva Pharmaceutical Industries Ltd (ADR)   6,521 
 198,619   *  TG Therapeutics, Inc   5,315 
 24,401   *  Theragen Etex Co Ltd   233 
 205,055   *,e  TherapeuticsMD, Inc   324 
 58,956   *  Theravance Biopharma, Inc   872 
 651,222      Thermo Fisher Scientific, Inc   287,528 
 66,400      Tianjin Chase Sun Pharmaceutical Co Ltd   53 
 505,000      Tong Ren Tang Technologies Co Ltd   321 
 131,600      Tonghua Dongbao Pharmaceutical Co Ltd   264 
 14,565      Torii Pharmaceutical Co Ltd   412 
 46,088      Torrent Pharmaceuticals Ltd   1,751 
 26,913      Towa Pharmaceutical Co Ltd   540 
 113,486   *,e  Translate Bio, Inc   1,545 
 25,643   *,e  Tricida, Inc   232 
 63,100      Tsumura & Co   1,966 
 192,917      TTY Biopharm Co Ltd   445 
 48,673   *,e  Turning Point Therapeutics Inc   4,252 
 81,536   *  Twist Bioscience Corp   6,194 
 58,990   *,e  Tyme Technologies, Inc   58 
 158,805      UCB S.A.   18,036 
 87,169   *  Ultragenyx Pharmaceutical, Inc   7,164 
 3,331,562      United Laboratories Ltd   3,446 
 176,422   *  United Therapeutics Corp   17,819 
 26,076   *,e  UNITY Biotechnology, Inc   90 
 74,467   *,e  UroGen Pharma Ltd   1,436 
 86,899   *  Vanda Pharmaceuticals, Inc   839 
 47,231   *,e  Vaxart, Inc   314 
 22,705   *  Vaxcyte, Inc   1,121 
 297,218   *,e  VBI Vaccines, Inc   850 
 679,344      Vectura Group plc   903 
125

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

           VALUE 
SHARES       COMPANY  (000) 
 202,228   *  Veracyte, Inc  $6,570 
 207,679   *,e  Verastem, Inc   251 
 130,566   *  Vericel Corp   2,419 
 13,095   *,e  Verrica Pharmaceuticals, Inc   101 
 10,701   *,e  Versartis, Inc   50 
 724,170   *  Vertex Pharmaceuticals, Inc   197,061 
 29,898   *,e  Viela Bio, Inc   840 
 33,010      Vifor Pharma AG.   4,490 
 208,854   *,e  Viking Therapeutics, Inc   1,216 
 95,238   *,e  Vir Biotechnology, Inc   3,270 
 8,912   *  Virbac S.A.   2,065 
 62,935   *,e  ViroMed Co Ltd   1,911 
 74,740      Vitrolife AB   2,039 
 23,587   *  Voyager Therapeutics, Inc   252 
 10,547   *,e  vTv Therapeutics, Inc   19 
 259,818   *,e  VYNE Therapeutics, Inc   431 
 125,200      Walvax Biotechnology Co Ltd   939 
 9,693   *  Waters Corp   1,897 
 23,175   *,e  WaVe Life Sciences Ltd   197 
 2,888,000      Winteam Pharmaceutical Group Ltd   1,214 
 31,049   *  Wockhardt Ltd   124 
 121,080      WuXi AppTec Co Ltd   1,814 
 142,794   e,g  WuXi AppTec Co Ltd (Hong Kong)   2,065 
 4,292,627   *,g  Wuxi Biologics Cayman, Inc   105,204 
 35,166   *  X4 Pharmaceuticals, Inc   238 
 22,687   *,e  XBiotech, Inc   433 
 135,268   *  Xencor, Inc   5,247 
 45,464   *,e  Xeris Pharmaceuticals, Inc   270 
 12,007   *,e  XOMA Corp   226 
 1,420,704   e,g  YiChang HEC ChangJiang Pharmaceutical Co Ltd   1,817 
 68,200      Yifan Pharmaceutical Co Ltd   251 
 24,795   *,e  Y-mAbs Therapeutics, Inc   952 
 23,466      Yuhan Corp   1,289 
 80,935   *  Yungjin Pharmaceutical Co Ltd   561 
 157,707      YungShin Global Holding Corp   235 
 78,100      Yunnan Baiyao Group Co Ltd   1,173 
 70,700   *  Zai Lab Ltd (ADR)   5,880 
 32,748   *  Zealand Pharma AS   1,243 
 9,128   *,e  Zentalis Pharmaceuticals, Inc   298 
 26,800      Zeria Pharmaceutical Co Ltd   513 
 18,900      Zhangzhou Pientzehuang Pharmaceutical Co Ltd   678 
 123,300      Zhejiang Conba Pharmaceutical Co Ltd   95 
 45,870      Zhejiang Huahai Pharmaceutical Co Ltd   217 
 68,000      Zhejiang NHU Co Ltd   299 
 23,200      Zhejiang Wolwo Bio-Pharmaceutical Co Ltd   192 
 199,316   *,e  ZIOPHARM Oncology, Inc   502 
 1,485,341      Zoetis, Inc   245,631 
 207,148   *  Zogenix, Inc   3,714 
        TOTAL PHARMACEUTICALS, BIOTECHNOLOGY & LIFE SCIENCES   9,033,760 
              
REAL ESTATE - 3.0%     
 399,569      Abacus Property Group   837 
 129,507      Acadia Realty Trust   1,360 
 900   *  Activia Properties Inc   3,428 
126

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

           VALUE 
SHARES       COMPANY  (000) 
 145,758   g  ADO Properties S.A.  $4,033 
 1,461   *,e  Advance Residence Investment Corp   4,304 
 126,754   *,g  Aedas Homes SAU   2,722 
 35,329      Aedifica S.A.   4,315 
 72,254      Aeon Mall Co Ltd   1,016 
 1,645   *  AEON REIT Investment Corp   1,895 
 29,851   *  Africa Israel Properties Ltd   724 
 1,181,791      Agile Property Holdings Ltd   1,557 
 167,197      Agree Realty Corp   10,640 
 553,800      AIMS AMP Capital Industrial REIT   489 
 81,234   *  Airport City Ltd   848 
 2,062,573      Aldar Properties PJSC   1,138 
 417,071      Alexander & Baldwin, Inc   4,675 
 3,247      Alexander’s, Inc   796 
 229,073      Alexandria Real Estate Equities, Inc   36,652 
 127,822      Aliansce Sonae Shopping Centers sa   540 
 71,048      Allied Properties Real Estate Investment Trust   1,913 
 15,963      Allreal Holding AG.   3,439 
 161,336      Alony Hetz Properties & Investments Ltd   1,586 
 28,956   e  Alpine Income Property Trust, Inc   450 
 177,751      Alstria Office REIT-AG.   2,472 
 7,224   *,e  Altisource Portfolio Solutions S.A.   92 
 44,133      Altus Group Ltd   1,834 
 740,298      Amata Corp PCL (Foreign)   297 
 181,038      American Assets Trust, Inc   4,361 
 65,969      American Campus Communities, Inc   2,304 
 237,994      American Finance Trust, Inc   1,492 
 933,463      American Homes 4 Rent   26,585 
 2,409   *,e  American Realty Investors, Inc   22 
 947,517      American Tower Corp   229,043 
 359,418      Americold Realty Trust   12,849 
 245,609      Amot Investments Ltd   1,122 
 237,000   e  Aoyuan Healthy Life Group Co Ltd   193 
 24,264      Apartment Investment & Management Co   818 
 30,413   *  Apple Hospitality REIT, Inc   292 
 907,961      Argosy Property Ltd   821 
 246,116      Armada Hoffler Properties, Inc   2,279 
 3,098,147   e  Aroundtown S.A.   15,552 
 82,182      Arriyadh Development Co   367 
 72,917      Artis Real Estate Investment Trust   435 
 912,300      Ascendas India Trust   923 
 3,153,301      Ascendas REIT   7,546 
 1,987,204      Ascott Trust   1,309 
 2,229,932      Asian Property Development PCL (Foreign)   406 
 5,154,529      Assura Group Ltd   5,131 
 51,726      Atrium Ljungberg AB   844 
 530,927      Attacq Ltd   95 
 439,143      AvalonBay Communities, Inc   65,582 
 376,078      Aventus Retail Property Fund Ltd   640 
 1,123,300      Axis Real Estate Investment Trust   584 
 7,700,552      Ayala Land, Inc   4,739 
 4,761,352   *,†  AZ BGP Holdings   14 
 5,399      Azrieli Group   241 
 9,554,200      Bangkok Land PCL   299 
127

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

           VALUE 
SHARES       COMPANY  (000) 
 1,045,831      Barwa Real Estate Co  $1,007 
 3,547      Bayside Land Corp   2,049 
 38,717      Befimmo SCA Sicafi   1,731 
 183,200      Beijing Capital Development Co Ltd   181 
 1,184,809      Beijing Capital Land Ltd   203 
 1,038,000      Beijing North Star Co   196 
 7,100      Big Shopping Centers Ltd   528 
 337,750      Big Yellow Group plc   4,527 
 2,547   *  BLife Investment Corp   6,499 
 5,876      Blue Square Real Estate Ltd   227 
 38,012      Bluerock Residential Growth REIT, Inc   288 
 847,861      BMO Commercial Property Trust Ltd   706 
 24,867      Boardwalk REIT   513 
 245,448      Boston Properties, Inc   19,709 
 742,600      BR Malls Participacoes S.A.   1,108 
 210,596      BR Properties S.A.   337 
 2,561   *  Brack Capital Properties NV   190 
 22,569      Brandywine Realty Trust   233 
 267,008      British Land Co plc   1,164 
 203,963      Brixmor Property Group, Inc   2,384 
 82,321   e  Brookfield Property REIT, Inc   1,008 
 14,868   e  Brt Realty Trust   175 
 1,063,310      Bunnings Warehouse Property Trust   3,094 
 275,417      C&D International Investment Group Ltd   469 
 71,840      CA Immobilien Anlagen AG.   2,124 
 1,105,052      Cache Logistics Trust   504 
 2,391,216      Cambridge Industrial Trust   680 
 238,698      Camden Property Trust   21,239 
 77,704      Canadian Apartment Properties REIT   2,711 
 2,501,905      CapitaCommercial Trust   3,034 
 815,258      Capital & Counties Properties   1,175 
 4,239,738   e  CapitaLand Ltd   8,477 
 2,412,524      CapitaMall Trust   3,434 
 843,887      CapitaRetail China Trust   691 
 564,228      CareTrust REIT, Inc   10,040 
 50,970      Carmila S.A.   463 
 274,613      Castellum AB   6,238 
 73,536      CatchMark Timber Trust, Inc   657 
 26,924      Catena AB   1,192 
 469,900      Cathay Real Estate Development Co Ltd   317 
 557,703   *,e  CBRE Group, Inc   26,195 
 888,020      CDL Hospitality Trusts   691 
 68,011      Cedar Woods Properties Ltd   282 
 447,096      Cencosud Shopping S.A.   640 
 1,094,968      Central China Real Estate Ltd   505 
 2,041,658      Central Pattana PCL (Foreign)   2,754 
 464,526      Centuria Industrial REIT   1,041 
 434,122      Centuria Office REIT   636 
 2,210,806      Champion Real Estate Investment Trust   1,100 
 355,045      Charter Hall Education Trust   724 
 663,453      Charter Hall Group   5,953 
 517,414      Charter Hall Long Wale REIT   1,871 
 79,631      Chatham Lodging Trust   607 
 1,139,000      China Aoyuan Group Ltd   1,174 
128

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

           VALUE 
SHARES       COMPANY  (000) 
 1,779,663   e  China Evergrande Group  $4,567 
 172,470      China Fortune Land Development Co Ltd   386 
 825,000   *,e,g  China Logistics Property Holdings Co Ltd   374 
 664,000      China Merchants Commercial Real Estate Investment Trust   201 
 1,084,000      China Merchants Land Ltd   155 
 52,800      China Merchants Property Operation & Service Co Ltd   205 
 303,067      China Merchants Shekou Industrial Zone Holdings Co Ltd   678 
 4,657,794      China Overseas Grand Oceans Group Ltd   2,678 
 4,548,969      China Overseas Land & Investment Ltd   11,491 
 1,200,000      China Overseas Property Holdings Ltd   988 
 3,084,622      China Resources Land Ltd   14,068 
 1,575,452      China SCE Group Holdings Ltd   710 
 3,830,000      China South City Holdings Ltd   353 
 1,687,657      China Vanke Co Ltd   5,188 
 2,439,813      China Vanke Co Ltd (Class A)   10,094 
 431,000   g  China Vast Industrial Urban Development Co Ltd   181 
 547,000   e  Chinese Estates Holdings Ltd   301 
 481,924      Chip Eng Seng Corp Ltd   155 
 365,088      Chong Hong Construction Co   1,013 
 31,306   e  Cibus Nordic Real Estate AB   572 
 2,911,845      CIFI Holdings Group Co Ltd   2,163 
 12,143      CIM Commercial Trust Corp   120 
 421,153      City Developments Ltd   2,371 
 98,290      City Office REIT, Inc   739 
 70,945   e  Citycon Oyj   559 
 742,402      Civitas Social Housing plc   1,011 
 2,510,176      CK Asset Holdings Ltd   12,334 
 10,647      Clipper Realty, Inc   64 
 27,341      Cofinimmo   4,111 
 33,722   e  Colliers International Group, Inc   2,246 
 793,630      Colony Capital, Inc   2,167 
 281,000   e  Colour Life Services Group   132 
 297,458      Columbia Property Trust, Inc   3,245 
 689   *  Comforia Residential REIT, Inc   2,009 
 97,881      Cominar Real Estate Investment Trust   540 
 29,375      Community Healthcare Trust, Inc   1,374 
 632,134      Concentradora Fibra Danhos S.A. de C.V.   579 
 188,745      CoreCivic, Inc   1,510 
 32,837   e  CorEnergy Infrastructure Trust, Inc   192 
 71,627      CorePoint Lodging, Inc   390 
 59,921      Coresite Realty   7,123 
 19,252   e  Corestate Capital Holding S.A.   377 
 1,101,656      Corp Inmobiliaria Vesta SAB de C.V.   1,660 
 15,871      Corporate Office Properties Trust   376 
 1,148,000   *,e  Cosmopolitan International Holdings Ltd   231 
 7,364,891      Country Garden Holdings Co Ltd   9,119 
 210,195      Cousins Properties, Inc   6,009 
 2,912   *  CRE Logistics REIT, Inc   4,327 
 970   *  Crescendo Investment Corp   1,072 
 50,033      Crombie Real Estate Investment Trust   495 
 1,356,500      Cromwell European Real Estate Investment Trust   775 
 1,766,830   e  Cromwell Group   1,082 
129

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

           VALUE 
SHARES       COMPANY  (000) 
 980,303      Crown Castle International Corp  $163,220 
 5,062,847      CSI Properties Ltd   153 
 55,691      CT Real Estate Investment Trust   584 
 7,734   e  CTO Realty Growth, Inc   341 
 118,295      CubeSmart   3,822 
 143,764   *,e  Cushman & Wakefield plc   1,511 
 452,505      Custodian Reit plc   518 
 421,706      CyrusOne, Inc   29,532 
 359   *  DA Office Investment Corp   2,054 
 230,000      DaFa Properties Group Ltd   204 
 52,710      Daibiru Corp   614 
 51,073      Daito Trust Construction Co Ltd   4,527 
 474,025      Daiwa House Industry Co Ltd   12,157 
 1,776,827   *  DAMAC Properties Dubai Co PJSC   449 
 289,992   *  Dar Al Arkan Real Estate Development Co   726 
 143,229      Derwent London plc   4,742 
 224,270      Deutsche Annington Immobilien SE   15,374 
 52,867      Deutsche Euroshop AG.   656 
 85,427      Deutsche Wohnen AG.   4,270 
 715,000      Dexin China Holdings Co Ltd   268 
 1,014,043      Dexus Property Group   6,495 
 1,271,992   *  Deyaar Development PJSC   100 
 320,160      DiamondRock Hospitality Co   1,623 
 103,457      DIC Asset AG.   1,242 
 473,473      Digital Realty Trust, Inc   69,487 
 105,880      Dios Fastigheter AB   749 
 1,155,877      Diversified Healthcare Trust   4,069 
 273,332      DLF Ltd   568 
 40,177      Dongwon Development Co Ltd   137 
 654,630   *  DoubleDragon Properties Corp   189 
 106,555      Douglas Emmett, Inc   2,675 
 81,836      Dream Industrial Real Estate Investment Trust   695 
 29,693      Dream Office Real Estate Investment Trust   405 
 32,409      DREAM Unlimited Corp   473 
 76,267      Duke Realty Corp   2,814 
 437,000     Eagle Hospitality Trust   4 
 127,396      Easterly Government Properties, Inc   2,855 
 46,293      EastGroup Properties, Inc   5,987 
 799,900   *  Eco World Development Group BHD   77 
 443,700      E-House China Enterprise Holdings Ltd   509 
 196,543   *  Emaar Economic City   528 
 1,369,100      Emaar Malls Group PJSC   560 
 1,679,711      Emaar Properties PJSC   1,290 
 1,571,167      Emlak Konut Gayrimenkul Yatiri   350 
 1,127,258      Emperor International Holdings   169 
 15,076      Empire State Realty Trust, Inc   92 
 1,081,603      Empiric Student Property plc   851 
 192,889   e,g  Entra ASA   2,711 
 11,964      EPR Properties   329 
 194,264      Equinix, Inc   147,666 
 532,402      Equites Property Fund Ltd   540 
 79,243      Equity Commonwealth   2,110 
 907,176      Equity Lifestyle Properties, Inc   55,610 
 618,318      Equity Residential   31,738 
130

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

           VALUE 
SHARES       COMPANY  (000) 
 157,648      Essential Properties Realty Trust, Inc  $2,888 
 64,068      Essex Property Trust, Inc   12,864 
 44,955      Eurocommercial Properties NV   521 
 97,293   *,e  eXp World Holdings Inc   3,925 
 228,069      Extra Space Storage, Inc   24,401 
 295,035      Fabege AB   4,080 
 1,168,238      Fantasia Holdings Group Co Ltd   228 
 1,372,269      Far East Consortium   386 
 889,405      Far East Hospitality Trust   362 
 223,812      Farglory Land Development Co Ltd   353 
 29,842   e  Farmland Partners, Inc   199 
 144,763   *  Fastighets AB Balder   7,334 
 4,282   *  Fathom Holdings, Inc   67 
 11,555      Federal Realty Investment Trust   849 
 2,937,706      Fibra Uno Administracion S.A. de C.V.   2,324 
 7,435,000      Filinvest Land, Inc   140 
 72,600      Financial Street Holdings Co Ltd   70 
 117,039      First Capital Real Estate Investment Trust   1,139 
 244,709      First Industrial Realty Trust, Inc   9,739 
 722,270      First Real Estate Investment Trust   231 
 40,379      FirstService Corp   5,329 
 38,085      Fonciere Des Regions   2,674 
 26,489   *,e  Forestar Group, Inc   469 
 1,147,528   e  Fortress REIT Ltd (Class A)   894 
 1,594,000      Fortune Real Estate Investment Trust   1,342 
 105,177      Four Corners Property Trust, Inc   2,691 
 167,100      Franklin Street Properties Corp   612 
 5,417,125      Franshion Properties China Ltd   3,016 
 841,277   e  Frasers Centrepoint Trust   1,487 
 875,600      Frasers Hospitality Trust   278 
 6,475,445      Frasers Logistics & Industrial Trust   6,630 
 264,425      Front Yard Residential Corp   2,311 
 512   *  Frontier Real Estate Investment Corp   1,744 
 12,870   *  FRP Holdings, Inc   536 
 761   *  Fukuoka REIT Corp   988 
 107,787      Future Land Holdings Co Ltd   556 
 412,910      Gaming and Leisure Properties, Inc   15,249 
 329,549      Gateway Real Estate AG.   1,314 
 159,103      Gazit Globe Ltd   643 
 11,674      Gazit, Inc   51 
 1,032,213      GCP Student Living plc   1,643 
 920,362      GDI Property Group   696 
 10,093      Gecina S.A.   1,330 
 186,100      Gemdale Corp   400 
 12,944,937      Gemdale Properties and Investment Corp Ltd   2,207 
 188,438      Geo Group, Inc   2,137 
 106,353      Getty Realty Corp   2,766 
 100,488      Gladstone Commercial Corp   1,693 
 27,222      Gladstone Land Corp   409 
 75,894      Global Medical REIT, Inc   1,025 
 166,359      Global Net Lease, Inc   2,645 
 1,036   *  Global One Real Estate Investment Corp   997 
 2,580   *  GLP J-Reit   3,971 
 55,548   *  Godrej Properties Ltd   650 
131

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

           VALUE 
SHARES       COMPANY  (000) 
 100,780   e  Goldcrest Co Ltd  $1,322 
 1,626,810      Goodman Group   21,063 
 1,248,568      Goodman Property Trust   1,947 
 1,814,593      GPT Group   5,105 
 704,000   *  GR Properties Ltd   111 
 844,979      Grainger plc   3,233 
 168,334      Grand City Properties S.A.   4,065 
 69,440      Granite REIT   4,030 
 1,155,060      Great Portland Estates plc   8,913 
 404,000      Greenland Holdings Corp Ltd   380 
 691,000      Greenland Hong Kong Holdings Ltd   214 
 2,313   e  Griffin Land & Nurseries, Inc (Class A)   124 
 304,190      Growthpoint Properties Australia Ltd   734 
 1,505,980      Growthpoint Properties Ltd   1,101 
 1,332,813      Guangzhou R&F Properties Co Ltd   1,726 
 281,867      Guocoland Ltd   310 
 1,031,000      Guorui Properties Ltd   113 
 193,254      H&R Real Estate Investment Trust   1,403 
 67,694      Hamborner AG.   691 
 4,316,850   *,e  Hammerson plc   909 
 984,442      Hang Lung Group Ltd   2,250 
 2,284,341      Hang Lung Properties Ltd   5,822 
 625   *  Hankyu Reit, Inc   728 
 305,706      Healthcare Realty Trust, Inc   9,208 
 418,705      Healthcare Trust of America, Inc   10,886 
 992,314      Healthpeak Properties Inc   26,941 
 37,122      Heiwa Real Estate Co Ltd   1,026 
 121,860      Helical Bar plc   465 
 369,640      Heliopolis Housing   138 
 35,794   *,†  Hemisphere Properties India Ltd   81 
 1,495,445      Henderson Land Development Co Ltd   5,553 
 67,605      Hersha Hospitality Trust   375 
 37,469,436   a  Hibernia REIT plc   43,766 
 659,113      Highwealth Construction Corp   985 
 15,065      Highwoods Properties, Inc   506 
 160,880   e  HKC Holdings Ltd   86 
 1,338,297      Hongkong Land Holdings Ltd   4,986 
 236   *,e  Hoshino Resorts REIT, Inc   1,190 
 1,352,045      Host Hotels and Resorts, Inc   14,589 
 51,729   *  Howard Hughes Corp   2,980 
 723,393      Huaku Development Co Ltd   2,163 
 296,931      Hudson Pacific Properties   6,512 
 123,531      Hufvudstaden AB (Series A)   1,716 
 792,000   e  Huijing Holdings Co Ltd   226 
 291,455      Hulic Co Ltd   2,735 
 1,697   *  Hulic Reit, Inc   2,249 
 417,640      Hung Sheng Construction Co Ltd   256 
 736,696      Hysan Development Co Ltd   2,216 
 8,835   e  Icade   495 
 270,125      Ichigo Holdings Co Ltd   788 
 1,379   *  Ichigo Real Estate Investment Corp   1,002 
 1,495,300      IGB Real Estate Investment Trust   655 
 79,368      Iguatemi Empresa de Shopping Centers S.A.   435 
 61,748   e  Immobiliare Grande Distribuzione SIIQ S.p.A   215 
132

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

           VALUE 
SHARES       COMPANY  (000) 
 88,356   e  IMMOFINANZ AG.  $1,395 
 148,911      Independence Realty Trust, Inc   1,726 
 171,602   *  Indiabulls Real Estate Ltd   120 
 1,879   *  Industrial & Infrastructure Fund Investment Corp   3,220 
 1,047,909      Industrial Buildings Corp   1,952 
 252,920      Industrial Logistics Properties Trust   5,531 
 2,711,786      Ingenia Communities Group   8,933 
 311,052      Inmobiliaria Colonial S.A.   2,567 
 46,359   e  Innovative Industrial Properties, Inc   5,754 
 72,608      InterRent Real Estate Investment Trust   687 
 1,394      Intershop Holding AG.   901 
 22,419   e  Intervest Offices   593 
 9,990   *  Invesco Office J-Reit, Inc   1,384 
 606,182      Investec Australia Property Fund   562 
 495,476      Investec Property Fund Ltd   270 
 19,913      Investors Real Estate Trust   1,298 
 13,191   *  Invincible Investment Corp   3,940 
 1,389,033      Invitation Homes, Inc   38,879 
 1,190,800      IOI Properties Group BHD   260 
 499,361      Irish Residential Properties REIT plc   826 
 429,084      Iron Mountain, Inc   11,495 
 23,498   *,e  IRSA Inversiones y Representaciones S.A. (ADR)   66 
 112,340      iStar Inc   1,327 
 464   *  ITOCHU Advance Logistics Investment Corp   649 
 849,010      IWG plc   2,841 
 84,608      Jadwa REIT Saudi Fund   310 
 1,369   *  Japan Excellent, Inc   1,598 
 4,997      Japan Hotel REIT Investment Corp   2,469 
 956   *  Japan Logistics Fund Inc   2,741 
 1,246   *  Japan Prime Realty Investment Corp   3,866 
 1,046   *  Japan Real Estate Investment Corp   5,348 
 4,952   *  Japan Rental Housing Investments, Inc   5,117 
 1,861   *  Japan Retail Fund Investment Corp   2,879 
 12,666      JBG SMITH Properties   339 
 39,699      Jernigan Capital, Inc   680 
 236,090      JHSF Participacoes S.A.   294 
 1,596,750   *,†  Jiangsu Future Land Co Ltd   8,859 
 94,100      Jiangsu Zhongnan Construction Group Co Ltd   127 
 1,788,000      Jiayuan International Group Ltd   745 
 414,269      Jingrui Holdings Ltd   113 
 174,200      Jinke Properties Group Co Ltd   233 
 14,228   *,e  John Mattson Fastighetsforetagen AB   243 
 43,977      Jones Lang LaSalle, Inc   4,207 
 350,000      JY Grandmark Holdings Ltd   143 
 2,483,329      K Wah International Holdings Ltd   1,200 
 2,384,000      Kaisa Group Holdings Ltd   1,227 
 49,500   e  Kaisa Prosperity Holdings Ltd   151 
 519,152      Katitas Co Ltd   14,753 
 682,700   *  KE Holdings, Inc (ADR)   41,849 
 35,500      Keihanshin Building Co Ltd   576 
 514   *  Kenedix Realty Investment Corp   3,083 
 1,034   *  Kenedix Residential Investment Corp   1,828 
 277   *  Kenedix Retail REIT Corp   559 
 775,720      Kenedix, Inc   4,085 
133

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

           VALUE 
SHARES       COMPANY  (000) 
 436,347      Kennedy-Wilson Holdings, Inc  $6,336 
 1,451,017      Keppel DC REIT   3,101 
 848,114      Keppel-KBS US REIT   619 
 606,825      Kerry Properties Ltd   1,561 
 10,284   *  K-fast Holding AB   272 
 133,577      Killam Apartment Real Estate Investment Trust   1,741 
 215,182      Kilroy Realty Corp   11,181 
 64,519      Kimco Realty Corp   726 
 2,222,704      Kindom Construction Co   3,020 
 128,669      Kite Realty Group Trust   1,490 
 1,700,433      Kiwi Property Group Ltd   1,198 
 26,147   e  Klepierre   366 
 529,136   *,e  Klovern AB (B Shares)   974 
 147,469      Korea Real Estate Investment Trust Co   222 
 1,849,691      K-REIT Asia   1,459 
 205,755   e  Kungsleden AB   1,948 
 1,215,608      KWG Property Holding Ltd   2,094 
 183,387      Lai Sun Development Co Ltd   166 
 123,720      Lamar Advertising Co   8,187 
 65,111   *  Lamda Development S.A.   421 
 7,065,745      Land and Houses PCL Co Reg   1,523 
 203,622      Land Securities Group plc   1,371 
 881,000      Langham Hospitality Investments Ltd   108 
 62,342   e  Lar Espana Real Estate Socimi S.A.   288 
 1,728      LaSalle Logiport REIT   2,894 
 16,172      LEG Immobilien AG.   2,305 
 615,802      Lend Lease Corp Ltd   4,919 
 918,826      Lendlease Global Commercial REIT   462 
 201,343   *,e  Leopalace21 Corp   366 
 433,597      Lexington Realty Trust   4,531 
 35,142      Life Storage, Inc   3,699 
 100,108      Lifestyle Communities Ltd   704 
 2,065,858      Link REIT   16,928 
 2,131,040   e  Lippo-Mapletree Indonesia Retail Trust   126 
 211,105      LOG Commercial Properties e Participacoes S.A.   1,130 
 1,305,000      Logan Property Holdings Co Ltd   2,076 
 966,454      London & Stamford Property plc   2,764 
 1,718,561   g  Longfor Properties Co Ltd   9,738 
 120,547      LOTTE Reit Co Ltd   533 
 286,707      LSR Group PJSC (ADR)   626 
 46,483      LTC Properties, Inc   1,620 
 938,000      LVGEM China Real Estate Investment Co Ltd   320 
 586,823      LXI REIT plc   816 
 235,267   e  Macerich Co   1,597 
 145,094      Mack-Cali Realty Corp   1,831 
 566,539      Macquarie CountryWide Trust   1,371 
 1,606,890      Macquarie MEAG Prime REIT   522 
 918,334      Mah Sing Group BHD   147 
 1,592,050      Manulife US Real Estate Investment Trust   1,185 
 35,779   *,†,e  Mapeley Ltd    0^
 2,013,384      Mapletree Commercial Trust   2,892 
 2,629,800      Mapletree Greater China Commercial Trust   1,821 
 1,740,770      Mapletree Industrial Trust   4,124 
 2,482,025   e  Mapletree Logistics Trust   3,739 
134

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

           VALUE 
SHARES       COMPANY  (000) 
 32,589   *  Marcus & Millichap, Inc  $897 
 413,356      Matrix Concepts Holdings BHD   170 
 6,455   *,e  Maui Land & Pineapple Co, Inc   70 
 867,800      MBK PCL   333 
 261,914      Medical Properties Trust, Inc   4,618 
 722,044      Medinet Nasr Housing   147 
 24,891      Mega Or Holdings Ltd   601 
 10,777,111      Megaworld Corp   661 
 23,969      Melisron Ltd   773 
 119,482      Mercialys S.A   658 
 452,548      Merlin Properties Socimi S.A.   3,775 
 50,639   g  Metrovacesa S.A.   327 
 1,348,842   g  Mexico Real Estate Management S.A. de C.V.   1,657 
 1,003,067      MGM Growth Properties LLC   28,066 
 1,901   *  MID Reit, Inc   1,468 
 77,399      Mid-America Apartment Communities, Inc   8,974 
 19,437      Minto Apartment Real Estate REIT NPV   267 
 71,539      Mirae Asset Maps Asia Pacific Real Estate Investment   250 
 1,668   *  Mirai Corp   632 
 3,662,173      Mirvac Group   5,741 
 1,206,321      Mitsubishi Estate Co Ltd   18,273 
 318   *  Mitsubishi Estate Logistics REIT Investment Corp   1,312 
 878,779      Mitsui Fudosan Co Ltd   15,292 
 1,051   *  Mitsui Fudosan Logistics Park, Inc   5,022 
 7,540      Mobimo Holding AG.   2,210 
 111,177      Monmouth Real Estate Investment Corp (Class A)   1,540 
 11,579      Montea C.V.A   1,371 
 20,862      Morguard North American Resid   227 
 26,214      Morguard Real Estate Investment Trust   84 
 1,963   *  Mori Hills REIT Investment Corp   2,555 
 365      Mori Trust Hotel Reit, Inc   379 
 1,113   *  Mori Trust Sogo Reit, Inc   1,408 
 273,229      Multiplan Empreendimentos Imobiliarios S.A.   945 
 61,942      National Health Investors, Inc   3,733 
 90,360      National Retail Properties, Inc   3,118 
 336,474      National Storage Affiliates Trust   11,006 
 1,106,325      National Storage REIT   1,446 
 1,804,581   h  Neo-China Land Group Holdings Ltd   174 
 193,383      NEPI Rockcastle plc   797 
 18,621      NESCO Ltd   136 
 53,150      NETSTREIT Corp   970 
 137,625      New Senior Investment Group, Inc   550 
 1,594,620      New World Development Co Ltd   7,784 
 281,329      Newmark Group, Inc   1,215 
 66,882      Nexity   2,034 
 118,943      NexPoint Residential Trust, Inc   5,275 
 485   *  Nippon Accommodations Fund, Inc   2,799 
 1,202   *  Nippon Building Fund, Inc   6,803 
 3,757   *  Nippon ProLogis REIT, Inc   12,670 
 506   *  NIPPON REIT Investment Corp   1,720 
 80,551      Nomura Real Estate Holdings, Inc   1,533 
 4,201   *  Nomura Real Estate Master Fund, Inc   5,263 
 102,977      Northview Apartment Real Estate Investment Trust   2,786 
135

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

           VALUE 
SHARES       COMPANY  (000) 
 94,199      NorthWest Healthcare Properties Real Estate Investment Trust  $804 
 20,097      NSI NV   707 
 312,977   *  Nyfosa AB   2,771 
 262,503      Oberoi Realty Ltd   1,406 
 396,600      Oceanwide Holdings Co Ltd   247 
 75,858      Office Properties Income Trust   1,572 
 224,186      Omega Healthcare Investors, Inc   6,712 
 26,114      One Liberty Properties, Inc   427 
 64,502      Open House Co Ltd   2,337 
 825,167      Origin Property PCL   165 
 2,073   *  Orix JREIT, Inc   3,190 
 2,461,674      OUE Commercial Real Estate Investment Trust   647 
 204,784      Outfront Media, Inc   2,980 
 352,422      Overseas Union Enterprise Ltd   305 
 1,007,345      Oxley Holdings Ltd   160 
 423,611   *  Pacific Century Premium Developments Ltd   112 
 1,618,264   *  Palm Hills Developments SAE   146 
 197,131      Paramount Group, Inc   1,396 
 286,576      Park Hotels & Resorts, Inc   2,863 
 443,924      Parkway Life Real Estate Investment Trust   1,353 
 562,478      Parque Arauco S.A.   787 
 78,756      Patrizia Immobilien AG.   2,140 
 664,800      Pavilion Real Estate Investment Trust   246 
 210,062      Pebblebrook Hotel Trust   2,632 
 80,098      Phoenix Mills Ltd   635 
 413,674      Physicians Realty Trust   7,409 
 612,432      Picton Property Income Ltd   495 
 199,281      Piedmont Office Realty Trust, Inc   2,704 
 1,214,556      PLA Administradora Industrial S de RL de C.V.   1,681 
 31,452   e  Plymouth Industrial REIT, Inc   388 
 2,921,817      Poly Hong Kong Investment Ltd   818 
 112,000      Poly Property Development Co Ltd   876 
 670,099      Poly Real Estate Group Co Ltd   1,573 
 109,804      PotlatchDeltic Corp   4,623 
 143,500   e  Powerlong Commercial Management Holdings Ltd   483 
 1,855,994      Precinct Properties New Zealand Ltd   2,080 
 111,067      Preferred Apartment Communities, Inc   600 
 1,479   *  Premier Investment Co   1,722 
 127,572      Prestige Estates Projects Ltd   436 
 1,353,758      Primary Health Properties plc   2,591 
 542,800      Prime US REIT   449 
 852,826      Prince Housing & Development Corp   318 
 468,753      ProLogis Property Mexico S.A. de C.V.   909 
 2,234,883      Prologis, Inc   224,874 
 2,958      Property & Building Corp   203 
 1,444,000      Prosperity REIT   427 
 586,100      Pruksa Holding PCL   200 
 60,835      PS Business Parks, Inc   7,446 
 74,851      PSP Swiss Property AG.   9,042 
 6,658,300   *  PT Bumi Serpong Damai   332 
 9,156,340      PT Ciputra Development Tbk   399 
 16,315,400   *,†  PT Hanson International Tbk   27 
 30,551,640   *  PT Lippo Karawaci Tbk   245 
136

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

           VALUE 
SHARES       COMPANY  (000) 
 15,883,600      PT Pakuwon Jati Tbk  $380 
 21,132,378      PT Puradelta Lestari Tbk   284 
 8,194,500      PT Summarecon Agung Tbk   307 
 201,350      Public Storage, Inc   44,845 
 1,556,500   *,e  Purplebricks Group plc   1,477 
 498,472      QTS Realty Trust, Inc   31,414 
 7,689,822      Quality House PCL   535 
 528,841      Radium Life Tech Co Ltd   184 
 14,061   *,e  Rafael Holdings, Inc   218 
 189,847      Rayonier, Inc   5,020 
 74,780   e  Raysum Co Ltd   670 
 298,515      RDI REIT plc   340 
 27,517      Re/Max Holdings, Inc   901 
 220,357      Realogy Holdings Corp   2,080 
 258,066      Realty Income Corp   15,677 
 1,024,000   e,g  Redco Properties Group Ltd   434 
 5,272,190      Redefine Properties Ltd   757 
 228,401   *  Redfin Corp   11,404 
 989,000      Redsun Properties Group Ltd   365 
 585,855      Regency Centers Corp   22,274 
 1,138,169   g  Regional REIT Ltd   962 
 190,662      Reit Ltd   701 
 127,928      Relo Holdings, Inc   3,073 
 299,678      Resilient REIT Ltd   658 
 11,432   e  Retail Estates NV   746 
 180,843      Retail Opportunities Investment Corp   1,883 
 350,595      Retail Properties of America, Inc   2,037 
 86,249      Retail Value, Inc   1,084 
 1,743,889      Rexford Industrial Realty, Inc   79,800 
 205,595      RioCan Real Estate Investment Trust   2,171 
 100,700      RiseSun Real Estate Development Co Ltd   113 
 260,908      RLJ Lodging Trust   2,259 
 107,373      RMR Group, Inc   2,950 
 422,277      Road King Infrastructure   505 
 1,716,684      Robinsons Land Corp   506 
 539,405      Ronshine China Holdings Ltd   381 
 136,430      RPT Realty   742 
 623,620      Ruentex Development Co Ltd   842 
 347,974   e  Rural Funds Group   575 
 64,762      Ryman Hospitality Properties   2,383 
 956,773      Sabana Shari’ah Compliant Industrial REIT   257 
 378,469      Sabra Healthcare REIT, Inc   5,217 
 22,488   e  Safehold, Inc   1,396 
 577,538      Safestore Holdings plc   5,800 
 138,484   *,e  Sagax AB   506 
 155,267   *,e  Samhallsbyggnadsbolaget i - D   545 
 881,172   e  Samhallsbyggnadsbolaget i Norden AB   2,657 
 34,430   e  SAMTY Co Ltd   519 
 333   *  Samty Residential Investment Corp   323 
 10,828,482      Sansiri PCL   206 
 609,100      Sasseur Real Estate Investment Trust   345 
 89,757   *  Saudi Real Estate Co   367 
 10,764      Saul Centers, Inc   286 
 188,159      Savills plc   1,891 
137

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

           VALUE 
SHARES       COMPANY  (000) 
 166,972      SBA Communications Corp  $53,177 
 1,313,646      SC Asset Corp PCL   92 
 5,785,052      Scentre Group   9,211 
 587,782      Schroder Real Estate Investment Trust Ltd   245 
 1,139,282      Segro plc   13,691 
 4,529   *  Sekisui House Reit, Inc   3,343 
 74,643      Selvaag Bolig ASA   414 
 55,353   *,e  Seritage Growth Properties   744 
 261,290      Service Properties Trust   2,077 
 177,695      Shaftesbury plc   1,139 
 1,211,044      Shanghai Lujiazui Finance & Trade Zone Development Co Ltd   1,016 
 89,100      Shanghai Zhangjiang High-Tech Park Development Co Ltd   250 
 3,315,334      Shenzhen Investment Ltd   973 
 1,182,969      Shimao Property Holdings Ltd   4,935 
 293,970   *  Shining Building Business Co Ltd   104 
 1,221,301      Shopping Centres Australasia Property Group   1,868 
 3,096,000      Shui On Land Ltd   394 
 227   *  SIA Reit, Inc   539 
 1,053,140      Siam Future Development PCL   149 
 33,000      Sichuan Languang Justbon Services Group Co Ltd   187 
 2,115,900      Sime Darby Property BHD   295 
 426,849      Simon Property Group, Inc   27,609 
 2,608,200      Singha Estate PCL   108 
 2,949,763      Sino Land Co   3,453 
 3,768,004      Sino-Ocean Land Holdings Ltd   763 
 214,692      Sinyi Realty Co   212 
 1,661,183      Sirius Real Estate Ltd   1,559 
 249,554      SITE Centers Corp   1,797 
 205,449      Six of October Development & Investment   164 
 7,080      SK D&D Co Ltd   251 
 2,186,000      Skyfame Realty Holdings Ltd   277 
 105,517   e  SL Green Realty Corp   4,893 
 21,634      Slate Grocery REIT   171 
 9,708,852      SM Prime Holdings   5,917 
 66,698      Smart Real Estate Investment Trust   1,002 
 41,673      Sobha Developers Ltd   126 
 2,526,135      Soho China Ltd   687 
 1,003,869      Soilbuild Business Space REIT   370 
 578   *  SOSiLA Logistics REIT, Inc   766 
 1,357,100      SP Setia BHD   252 
 52,054      Sparkassen Immobilien AG.   886 
 1,024,200      SPH REIT   666 
 14,854      Spirit Realty Capital, Inc   501 
 225,447      ST Modwen Properties plc   909 
 32,435   *  St. Joe Co   669 
 390,484      STAG Industrial, Inc   11,906 
 435,589      Standard Life Investment Property Income Trust Ltd   261 
 11,764   e  Star Asia Investment Corp   4,906 
 242   *  Starts Proceed Investment Corp   476 
 3,307,430      Stockland Trust Group   9,035 
 394,006   e  Stor-Age Property REIT Ltd   290 
 1,123,000      StorageVault Canada, Inc   2,699 
138

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

           VALUE 
SHARES       COMPANY  (000) 
 232,042      STORE Capital Corp  $6,365 
 5,695   *,e  Stratus Properties, Inc   123 
 245,690      Sumitomo Realty & Development Co Ltd   7,273 
 153,893      Summit Hotel Properties, Inc   797 
 73,520      Summit Industrial Income REIT   709 
 42,729      Summit Real Estate Holdings Ltd   370 
 441,254      Sun Communities, Inc   62,045 
 164,780      Sun Frontier Fudousan Co Ltd   1,382 
 1,363,655      Sun Hung Kai Properties Ltd   17,573 
 2,457,522      Sunac China Holdings Ltd   9,682 
 1,880,000   *,e  Suncity Group Holdings Ltd   193 
 1,138,000      Sunlight Real Estate Investment Trust   512 
 332,168      Sunstone Hotel Investors, Inc   2,637 
 1,837,229      Suntec Real Estate Investment Trust   1,970 
 47,068      Sunteck Realty Ltd   176 
 1,540,900      Sunway Real Estate Investment   579 
 1,433,301      Supalai PCL   703 
 466,000      Swire Pacific Ltd (Class A)   2,256 
 1,202,194      Swire Properties Ltd   3,185 
 75,873      Swiss Prime Site AG.   6,891 
 162,706      TAG Tegernsee Immobilien und Beteiligungs AG.   4,906 
 321,500   e  Takara Leben Co Ltd   953 
 490   *  Takara Leben Real Estate Investment Corp   407 
 844,602      Talaat Moustafa Group   340 
 130,514   e  Tanger Factory Outlet Centers, Inc   787 
 66,825      Taubman Centers, Inc   2,225 
 31,255   *  Tejon Ranch Co   442 
 193,875      Terreno Realty Corp   10,617 
 41,480      TOC Co Ltd   258 
 368,693      Tokyo Tatemono Co Ltd   4,530 
 549,310      Tokyu Fudosan Holdings Corp   2,373 
 934   *  Tokyu REIT, Inc   1,306 
 182,643      Tosei Corp   1,700 
 2,141   *  Tosei Reit Investment Corp   2,241 
 2,086   *  Transcontinental Realty Investors, Inc   52 
 210,964      Tricon Capital Group, Inc   1,749 
 7,237,394      Tritax Big Box REIT plc   14,454 
 9,099,120   g  Tritax EuroBox plc   10,309 
 40,384      UDR, Inc   1,317 
 1,111,800   *  UEM Land Holdings BHD   98 
 878,172      UK Commercial Property REIT Ltd   772 
 47,030      UMH Properties, Inc   637 
 13,205   e  Unibail-Rodamco-Westfield   487 
 5,187   e  Unibail-Rodamco-Westfield (Paris)   192 
 1,834,656   *  Union Properties PJSC   149 
 1,386,377      Unite Group plc   14,990 
 1,573,275      United Development Co PSC   806 
 3,018   *  United Urban Investment Corp   3,358 
 383,641      Uniti Group, Inc   4,042 
 9,789      Universal Health Realty Income Trust   558 
 429,602      UOL Group Ltd   2,111 
 151,815      Urban & Civic plc   413 
 371,163      Urban Edge Properties   3,608 
 52,579      Urstadt Biddle Properties, Inc (Class A)   484 
139

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

           VALUE 
SHARES       COMPANY  (000) 
 13,941   e  Vastned Retail NV  $373 
 560,299      Ventas, Inc   23,510 
 187,469      VEREIT, Inc   1,219 
 986,261      VICI Properties, Inc   23,049 
 3,583,026      Vicinity Centres   3,578 
 2,624,000      Vista Land & Lifescapes, Inc   185 
 21,282      Vornado Realty Trust   717 
 717,654      Vukile Property Fund Ltd   208 
 182,572   e  Wallenstam AB   2,776 
 723,925      Warehouse REIT plc   1,037 
 225,261      Warehouses De Pauw CVA   8,197 
 128,221      Washington REIT   2,581 
 279,111      Watkin Jones plc   509 
 834,087      Waypoint REIT   1,630 
 100,014      Weingarten Realty Investors   1,696 
 595,797      Welltower, Inc   32,822 
 38,444   e  Wereldhave NV   350 
 1,095,000      Weyerhaeuser Co   31,229 
 8,311,209      WHA Corp PCL   744 
 1,675,638      Wharf Holdings Ltd   3,361 
 1,829,360   e  Wharf Real Estate Investment Co Ltd   7,499 
 70,321   *  Whitestone REIT   422 
 207,830      Wihlborgs Fastigheter AB   4,104 
 505,940      Wing Tai Holdings Ltd   647 
 151,985      Workspace Group plc   1,054 
 21,351      WP Carey, Inc   1,391 
 44,631   h  WPT Industrial Real Estate Investment Trust   567 
 183,216      Xenia Hotels & Resorts, Inc   1,609 
 465,300      Xinhu Zhongbao Co Ltd   232 
 327,000      Xinji Shaxi Group Co Ltd   105 
 49,800      Yango Group Co Ltd   54 
 664,342      Yanlord Land Group Ltd   553 
 8,497      YH Dimri Construction & Development Ltd   249 
 454,000      Yincheng International Holding Co Ltd   141 
 1,514,044   *,e  Yoma Strategic Holdings Ltd   319 
 604,700      YTL Hospitality REIT   105 
 1,632,000      Yuexiu Real Estate Investment Trust   763 
 7,058,000      Yuexiul Property Co Ltd   1,386 
 2,073,963      Yuzhou Properties Co   826 
 1,576,000      Zhenro Properties Group Ltd   968 
 367,500   *  Zhongtian Financial Group Co Ltd   182 
 1,274,000   *  Zhuguang Holdings Group Co Ltd   202 
        TOTAL REAL ESTATE   3,358,573 
              
RETAILING - 7.5%     
 208,972   *  1-800-FLOWERS.COM, Inc (Class A)   5,212 
 209,028      Aaron’s, Inc   11,841 
 27,469      ABC-Mart, Inc   1,430 
 98,535      Abercrombie & Fitch Co (Class A)   1,373 
 365,827      Accent Group Ltd   436 
 30,130      Adastria Holdings Co Ltd   475 
 96,667      Advance Auto Parts, Inc   14,838 
 555,900      Aeon Co M BHD   107 
 1,687,400   *  Alibaba Group Holding Ltd   61,946 
140

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

           VALUE 
SHARES       COMPANY  (000) 
 2,818,445   *  Alibaba Group Holding Ltd (ADR)  $828,566 
 1,138,700   *  AllHome Corp   137 
 15,990      Alpen Co Ltd   303 
 1,017,949   *  Amazon.com, Inc   3,205,247 
 249,403   e  American Eagle Outfitters, Inc   3,694 
 6,546   *,e  America’s Car-Mart, Inc   556 
 322,904   *  AO World plc   899 
 35,200   e  AOKI Holdings, Inc   177 
 53,841   e  Aoyama Trading Co Ltd   284 
 172,283      AP Eagers Ltd   1,138 
 34,122      Arata Corp   1,703 
 30,376      Arc Land Sakamoto Co Ltd   624 
 17,558      Asahi Co Ltd   308 
 42,830   *  Asbury Automotive Group, Inc   4,174 
 62,764      ASKUL Corp   2,564 
 488,847   *  ASOS plc   32,457 
 83,013   *,e  At Home Group, Inc   1,234 
 75,488      Autobacs Seven Co Ltd   983 
 124,923   *  Autonation, Inc   6,612 
 35,343   *  AutoZone, Inc   41,621 
 3,938,905      B&M European Value Retail S.A.   25,111 
 38,846   g  B&S Group Sarl   301 
 3,708,381   *  B2W Companhia Global Do Varejo   59,417 
 301,318   *,e  Baozun, Inc (ADR)   9,790 
 288,859   e  Bed Bath & Beyond, Inc   4,327 
 55,005   e  Belluna Co Ltd   501 
 844,473      Berjaya Auto BHD   282 
 915,252      Best Buy Co, Inc   101,858 
 105,800   *  BIC CAMERA, Inc   1,176 
 60,788      Big Lots, Inc   2,711 
 154,436      Bilia AB   1,941 
 713,243   *  BJ’s Wholesale Club Holdings, Inc   29,635 
 5,035,696   *  boohoo.com plc   24,311 
 137,536   *  Booking Holdings, Inc   235,280 
 21,964   *,e  Boot Barn Holdings, Inc   618 
 45,519   *,g  Boozt AB   633 
 537,000   *,†,e  Boshiwa International Holding   1 
 111,490   e  Boyd Group Services, Inc   17,221 
 46,473   e  Buckle, Inc   948 
 161,768   *  Burlington Stores, Inc   33,339 
 367,462      Burson Group Ltd   1,807 
 94,624      C&A Modas Ltd   194 
 70,258      Caleres, Inc   672 
 203,697   e  Camping World Holdings, Inc   6,060 
 94,963   e  Canadian Tire Corp Ltd   9,565 
 597,922   *  CarMax, Inc   54,955 
 111,736   *,e  CarParts.com, Inc   1,208 
 78,351   *,e  Carvana Co   17,477 
 37,586      Cato Corp (Class A)   294 
 405,716   e  Children’s Place, Inc   11,502 
 419,000   e  China Animation Characters Co Ltd   137 
 798,000   e  China Harmony New Energy Auto Holding Ltd   317 
 2,898,842      China Meidong Auto Holdings Ltd   11,168 
 946,500   e  China ZhengTong Auto Services Holdings Ltd   92 
141

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

           VALUE 
SHARES       COMPANY  (000) 
 15,316      Chiyoda Co Ltd  $143 
 17,949   e  Citi Trends, Inc   448 
 686,000   *  City Telecom (HK) Ltd   976 
 15,455      CJ O Shopping Co Ltd   1,880 
 113,866   e  Clas Ohlson AB (B Shares)   1,157 
 507,479      Com7 PCL (Foreign)   635 
 92,452   *  Conn’s, Inc   978 
 35,643   *,e  Container Store Group, Inc   221 
 199,430      Core-Mark Holding Co, Inc   5,770 
 6,457      Cuckoo Homesys Co Ltd   230 
 169,146      DCM Japan Holdings Co Ltd   2,330 
 58,051      Delek Automotive Systems Ltd   285 
 218,349   *,g  Delivery Hero AG.   25,053 
 118,250      Designer Brands, Inc   642 
 143,281   *  Despegar.com Corp   911 
 241,662      Dick’s Sporting Goods, Inc   13,987 
 35,350      Dieteren S.A.   2,198 
 13,430   e  Dillard’s, Inc (Class A)   490 
 633,450      Dohome PCL   301 
 409,930      Dollar General Corp   85,930 
 384,969   *  Dollar Tree, Inc   35,163 
 630,995      Dollarama, Inc   24,187 
 386,500      Don Quijote Co Ltd   9,001 
 25,100      Doshisha Co Ltd   505 
 51,876   e  Dufry Group   1,606 
 42,752   *,e  Duluth Holdings, Inc   522 
 113,266      Dunelm Group plc   2,039 
 60,242   g  Dustin Group AB   379 
 1,028,062      eBay, Inc   53,562 
 84,578      EDION Corp   886 
 68,952   *  eDreams ODIGEO S.A.   186 
 118,300   e  Enigmo, Inc   1,877 
 7,295   *,e  Envela Corp   31 
 207,045   *  Etsy, Inc   25,183 
 358,492   g  Europris ASA   1,838 
 543,196      Expedia Group, Inc   49,806 
 903,000      Far Eastern Department Stores Co Ltd   763 
 695,615   *,e  Farfetch Ltd   17,502 
 58,179      Fast Retailing Co Ltd   36,561 
 68,757   *  Fawaz Abdulaziz Al Hokair & Co   425 
 82,990   *  Five Below, Inc   10,540 
 11,899   *,e  Fiverr International Ltd   1,654 
 124,369   *  Floor & Decor Holdings, Inc   9,303 
 17,166      Foot Locker, Inc   567 
 314,356   e  Foschini Ltd   1,539 
 19,400      Fuji Co Ltd   350 
 43,075   *,e  Funko, Inc   249 
 127,898   *  Future Enterprises Ltd   156 
 60,715      Future Lifestyle Fashions Ltd   73 
 286,935   *,e  GameStop Corp (Class A)   2,927 
 23,386      Gap, Inc   398 
 24,571   *  Genesco, Inc   529 
 18,574   e  Genuine Parts Co   1,768 
 34,600      Geo Holdings Corp   550 
142

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

           VALUE 
SHARES       COMPANY  (000) 
 1,338,000      Giordano International Ltd  $234 
 1,165,057      Gocompare.Com Group plc   1,609 
 4,932,494   *,e  GOME Electrical Appliances Holdings Ltd   653 
 604,500   *  Grand Baoxin Auto Group Ltd   86 
 5,487   *,e  Greenlane Holdings Inc   12 
 28,092      Group 1 Automotive, Inc   2,483 
 19,460      Groupe Fnac   872 
 37,681   *  Groupon, Inc   769 
 30,838   *,e  GrowGeneration Corp   493 
 511,579   *  GrubHub, Inc   37,003 
 88,553   *  Grupo SBF S.A.   400 
 2,870      GS Home Shopping, Inc   317 
 70,693      Guess?, Inc   821 
 74,500      Gulliver International Co Ltd   449 
 628,120      Halfords Group plc   1,470 
 93,225   e  Hankyu Department Stores, Inc   607 
 615,162   e  Harvey Norman Holdings Ltd   2,002 
 31,567      Haverty Furniture Cos, Inc   661 
 550,614   *  HelloFresh SE   30,600 
 20,416,000   *,e  HengTen Networks Group Ltd   770 
 398,644      Hennes & Mauritz AB (B Shares)   6,868 
 55,178   *,e  Hibbett Sports, Inc   2,164 
 34,590      Hikari Tsushin, Inc   8,253 
 2,687,172      Home Depot, Inc   746,255 
 2,757,384      Home Product Center PCL (Foreign)   1,257 
 9,079      Hornbach Baumarkt AG.   482 
 25,184      Hornbach Holding AG. & Co KGaA   2,941 
 221,618      Hotai Motor Co Ltd   4,961 
 16,445      Hotel Shilla Co Ltd   1,065 
 2,285,000   *,†  Hsin Chong Group Holdings Ltd   3 
 75,296   *,e  Hudson Ltd   572 
 13,262      Hyundai Department Store Co Ltd   638 
 5,263      Hyundai Home Shopping Network Corp   321 
 450,027      Inchcape plc   2,552 
 934,243      Industria De Diseno Textil S.A.   25,845 
 231,075   e  Isetan Mitsukoshi Holdings Ltd   1,227 
 40,400      Izumi Co Ltd   1,473 
 252,600      J Front Retailing Co Ltd   1,829 
 31,091      Jardine Cycle & Carriage Ltd   413 
 80,576      Jarir Marketing Co   4,034 
 218,441      JB Hi-Fi Ltd   7,427 
 408,216      JD Sports Fashion plc   4,261 
 194,232   *  JD.com, Inc   7,479 
 2,440,324   *  JD.com, Inc (ADR)   189,394 
 14,142      Jin Co Ltd   1,117 
 20,120      Joshin Denki Co Ltd   503 
 94,274      Joyful Honda Co Ltd   1,538 
 49,353      JUMBO S.A.   864 
 66,910   *,g  Just Eat Takeaway   7,489 
 36,187   e  Keiyo Co Ltd   302 
 138,216      Kering   91,685 
 1,486,569      Kingfisher plc   5,694 
 9,100   e  Kintetsu Department Store Co Ltd   282 
 69,312      Kogan.com Ltd   1,012 
143

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

           VALUE 
SHARES       COMPANY  (000) 
 70,485      Kohl’s Corp  $1,306 
 73,205      Kohnan Shoji Co Ltd   2,852 
 109,532      Komeri Co Ltd   3,462 
 209,528      K’s Holdings Corp   2,837 
 100,837      L Brands, Inc   3,208 
 21,347   *,e  Lands’ End, Inc   278 
 42,600      Liaoning Cheng Da Co Ltd   146 
 370,000   *  Lifestyle China Group Ltd   57 
 514,000      Lifestyle International Holdings Ltd   421 
 44,860   *,e  Liquidity Services, Inc   335 
 51,077      Lithia Motors, Inc (Class A)   11,642 
 43,603   *  LKQ Corp   1,209 
 1,556,190      Lojas Americanas S.A. (Preference)   7,867 
 1,122,400   *  Lojas Quero Quero S   2,788 
 745,817      Lojas Renner S.A.   5,266 
 8,562      LOTTE Himart Co Ltd   221 
 6,461      Lotte Shopping Co Ltd   433 
 59,444   e  Lovisa Holdings Ltd   358 
 1,984,841      Lowe’s Companies, Inc   329,206 
 380,561      Luk Fook Holdings International Ltd   923 
 48,212   *  Lumber Liquidators, Inc   1,063 
 498,046   e  Macy’s, Inc   2,839 
 1,226,509      Magazine Luiza S.A.   19,481 
 457,848   *,e  Magnite, Inc   3,180 
 50,923   g  Maisons du Monde S.A.   765 
 1,238,428   *  MakeMyTrip Ltd   19,022 
 433,526   *,g  Maoyan Entertainment   754 
 129,951   *,e  MarineMax, Inc   3,336 
 195,580   *  Marisa Lojas S.A.   242 
 5,319,952      Marks & Spencer Group plc   6,676 
 131,209   e  Marui Co Ltd   2,518 
 40,802      Matas A.S.   475 
 29,716   e  Matsuya Co Ltd   213 
 8,571   e  Media Do Holdings Co Ltd   623 
 4,284,000   *  Meituan Dianping (Class B)   134,951 
 44,888      Mekonomen AB   466 
 15,284   *  MercadoLibre, Inc   16,545 
 59,600   *,e  Mercari, Inc   2,754 
 246,879   *  Metro AG.   1,213 
 119,071   *,e  Michaels Cos, Inc   1,150 
 45,693      Mobilezone Holding AG.   453 
 34,141      momo.com, Inc   831 
 597,751      Moneysupermarket.com Group plc   2,060 
 39,168      Monro Muffler, Inc   1,589 
 152,968      Motus Holdings Ltd   393 
 1,174,311      Mr Price Group Ltd   9,208 
 227,000   *,e,g  Mulsanne Group Holding Ltd   167 
 23,206   *  Murphy USA, Inc   2,977 
 33,617   *  Musti Group Oyj   818 
 678,795      Naspers Ltd (N Shares)   119,891 
 157,175   *  National Vision Holdings, Inc   6,010 
 1,142,716      New Carphone Warehouse plc   1,376 
 93,299      Next plc   7,153 
 46,620   e  Nextage Co Ltd   510 
144

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

           VALUE 
SHARES       COMPANY  (000) 
 46,835      Nishimatsuya Chain Co Ltd  $637 
 94,304      Nitori Co Ltd   19,564 
 107,762      Nojima Corp   2,908 
 510,059   e  Nordstrom, Inc   6,080 
 438,211   *  Ocado Ltd   15,499 
 207,438   *  ODP Corp   4,035 
 27,400   *  Oisix ra daichi, Inc   887 
 73,457   *  Ollie’s Bargain Outlet Holdings, Inc   6,416 
 168,108   g  On the Beach Group plc   529 
 4,688   *,e  OneWater Marine, Inc   96 
 12,184   *,e  Open Door, Inc   159 
 142,942   *  O’Reilly Automotive, Inc   65,908 
 82,122   *  Overstock.com, Inc   5,966 
 287,087      Padini Holdings BHD   161 
 23,528      Pal Co Ltd   250 
 145,315      Paltac Corp   7,350 
 84,780      PC Home Online   296 
 45,558   e  Penske Auto Group, Inc   2,171 
 507,006   e,g  Pepkor Holdings Ltd   337 
 14,466   e  PetMed Express, Inc   457 
 704,900      Petrobras Distribuidora S.A.   2,529 
 558,520      Pets at Home Group plc   3,053 
 573,482   *  Pinduoduo, Inc (ADR)   42,524 
 65,931      Pool Corp   22,057 
 2,529,129      Pou Sheng International Holdings Ltd   643 
 51,701      Poya Co Ltd   989 
 232,106      Premier Investments Ltd   3,450 
 524,800   *  Prosus NV   48,440 
 3,523,500      PT ACE Hardware Indonesia Tbk   378 
 2,205,300   *  PT Bintang Oto Global Tbk   229 
 121,892,100      PT Matahari Department Store Tbk   8,060 
 7,458,479      PT Mitra Adiperkasa Tbk   287 
 2,191,068      PT Ramayana Lestari Sentosa Tbk   78 
 768,468      PTG Energy PCL (Foreign)   451 
 138,925   *  Quotient Technology, Inc   1,025 
 570,117      Qurate Retail Group, Inc QVC Group   4,093 
 1,040,865   *  Rakuten, Inc   11,224 
 87,314   *  Real Matters, Inc   1,702 
 125,687   *,e  RealReal, Inc   1,819 
 227,237      Rent-A-Center, Inc   6,792 
 30,997   *  RH   11,860 
 716,396      Ripley Corp S.A.   196 
 78,809   *,g  Rocket Internet SE   1,726 
 490,362   e  Ross Stores, Inc   45,761 
 164,700      Ryohin Keikaku Co Ltd   2,737 
 1,233,831   e  SA SA International Holdings Ltd   215 
 1,089,817      SACI Falabella   3,192 
 171,034   *,e  Sally Beauty Holdings, Inc   1,486 
 52,300   e  Sanrio Co Ltd   944 
 94,918      Saudi Co For Hardware CJSC   1,301 
 23,668   *  Seobu Truck Terminal Co Ltd   127 
 215,681      Seria Co Ltd   9,204 
 47,300      Shanghai Yuyuan Tourist Mart Group Co Ltd   61 
 42,906   e  Shimachu Co Ltd   1,451 
145

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

           VALUE 
SHARES       COMPANY  (000) 
 16,892      Shimamura Co Ltd  $1,641 
 3,805      Shinsegae Co Ltd   688 
 2,648      Shinsegae International Co Ltd   342 
 684,000      Shirble Department Stores   56 
 15,422   e  Shoe Carnival, Inc   518 
 12,247   *,g  Shop Apotheke Europe NV   2,133 
 19,882      Shutterstock, Inc   1,035 
 85,005   e  Signet Jewelers Ltd   1,590 
 40,225   g  Sleep Country Canada Holdings, Inc   602 
 102,330   *  Sleep Number Corp   5,005 
 45,785   *,e,g  SMCP S.A.   207 
 128,688      Sonic Automotive, Inc (Class A)   5,168 
 436,397   *  Sports Direct International plc   1,935 
 149,426   *,e  Sportsman’s Warehouse Holdings, Inc   2,138 
 25,882   *  Stamps.com, Inc   6,236 
 198,430   e  Start Today Co Ltd   5,537 
 61,076   *,e  Stitch Fix Inc   1,657 
 315,900      Suning.com Co Ltd   423 
 514,500      Super Cheap Auto Group Ltd   3,913 
 352,899   *  Super Group Ltd   425 
 149,951      Takashimaya Co Ltd   1,189 
 106,972   *,e,g  Takeaway.com Holding BV   11,975 
 37,096      Takkt AG.   463 
 1,250,588   e  Target Corp   196,868 
 22,069      Telepark Corp   415 
 470,000   *  Temple & Webster Group Ltd   4,200 
 148,000      Test-Rite International Co   123 
 4,442,689   *  THG Holdings Ltd   34,293 
 177,811      Tiffany & Co   20,599 
 38,741      Tilly’s, Inc   234 
 2,632,121      TJX Companies, Inc   146,478 
 84,141      Tokmanni Group Corp   1,486 
 831,800   *  Tongcheng-Elong Holdings Ltd   1,526 
 5,933,054   g  Topsports International Holdings Ltd   8,248 
 152,526      Tractor Supply Co   21,863 
 1,380,396   *,g  Trainline plc   6,438 
 670,833   *  Trip.com Group Ltd (ADR)   20,890 
 384,487   e  Truworths International Ltd   715 
 124,378   *  Ulta Beauty, Inc   27,858 
 23,599   e  United Arrows Ltd   343 
 26,929      United Electronics Co   501 
 113,944   *,e  Urban Outfitters, Inc   2,371 
 170,043      USS Co Ltd   3,043 
 126,623   *,e  Uxin Ltd (ADR)   110 
 3,813   e  Valora Holding AG.   709 
 1,169,800   *  Via Varejo S.A.   3,614 
 1,906,500   *  Vipshop Holdings Ltd (ADR)   29,818 
 7,303      V-Mart Retail Ltd   196 
 35,267   *  Vroom, Inc   1,826 
 86,988      VT Holdings Co Ltd   337 
 364,354   *  Waitr Holdings Inc   1,173 
 98,606   *,e  Wayfair, Inc   28,695 
 455,928   e  Webjet Ltd   1,288 
 1,119,133      Wesfarmers Ltd   35,772 
146

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

           VALUE 
SHARES       COMPANY  (000) 
 5,122   e  Weyco Group, Inc  $83 
 146,366      WH Smith plc   1,798 
 1,309,900      Wilcon Depot, Inc   433 
 114,320      Williams-Sonoma, Inc   10,339 
 10,442      Winmark Corp   1,798 
 3,612,148      Woolworths Holdings Ltd   7,576 
 82,800   e  Workman Co Ltd   7,288 
 78,900      World Co Ltd   1,069 
 176,200      Wuchan Zhongda Group Co Ltd   120 
 22,042      Xebio Co Ltd   159 
 1,282,794      Yamada Denki Co Ltd   6,397 
 106,033      Yellow Hat Ltd   1,773 
 28,500   *  Yume No Machi Souzou Iinkai Co Ltd   761 
 178,514   *,g  Zalando SE   16,679 
 281,500      Zhongsheng Group Holdings Ltd   1,771 
 6,838   *  zooplus AG.   1,272 
 95,137   *,e  Zumiez, Inc   2,647 
        TOTAL RETAILING   8,392,665 
              
SEMICONDUCTORS & SEMICONDUCTOR EQUIPMENT - 5.2%     
 108,648   *  Acacia Communications, Inc   7,323 
 200,615      A-DATA Technology Co Ltd   385 
 59,938   *  Advanced Energy Industries, Inc   3,772 
 3,494,286   *  Advanced Micro Devices, Inc   286,497 
 10,439      Advanced Process Systems Corp   196 
 134,483      Advanced Wireless Semiconductor Co   476 
 268,200      Advantest Corp   13,045 
 126,877   *  Aixtron AG.   1,531 
 55,000      Alchip Technologies Ltd   939 
 35,211   *  Alpha & Omega Semiconductor Ltd   451 
 44,152   *  Ambarella, Inc   2,304 
 616,808   *  Amkor Technology, Inc   6,908 
 293,334   *  ams AG.   6,632 
 673,883      Analog Devices, Inc   78,669 
 3,629,759      Applied Materials, Inc   215,789 
 371,738      Ardentec Corp   422 
 2,595,963      ASE Industrial Holding Co Ltd   5,345 
 108,892      ASM International NV   15,609 
 360,256      ASM Pacific Technology   3,688 
 22,000      ASMedia Technology, Inc   1,115 
 785,408      ASML Holding NV   290,108 
 55,000      ASPEED Technology, Inc   2,176 
 12,794   *,e  Atomera, Inc   134 
 37,707   *  Atto Co Ltd   139 
 30,930   *  Axcelis Technologies, Inc   680 
 67,959   *,e  AXT, Inc   416 
 80,025      BE Semiconductor Industries NV   3,431 
 3,512,000   *  Beijing Energy International Holding Co Ltd   109 
 1,203,038      Broadcom, Inc   438,291 
 271,373      Brooks Automation, Inc   12,554 
 16,476   *  Ceva, Inc   649 
 104,000      Chang Wah Technology Co Ltd   135 
 11,538   *,†  China Energy Savings Technology, Inc    0 
 1,383,000      Chipbond Technology Corp   3,048 
147

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

           VALUE 
SHARES       COMPANY  (000) 
 540,436      ChipMOS Technologies, Inc  $537 
 85,546   *  Cirrus Logic, Inc   5,770 
 63,997      Cohu, Inc   1,099 
 594,456   *  Cree, Inc   37,891 
 6,231   *  CyberOptics Corp   198 
 42,469   e  Dainippon Screen Manufacturing Co Ltd   2,267 
 9,399   *  Daqo New Energy Corp (ADR)   1,271 
 207,684   *  Dialog Semiconductor plc   9,052 
 109,318   *  Diodes, Inc   6,171 
 39,180      Disco Corp   9,580 
 155,910      Dongbu HiTek Co Ltd   4,995 
 38,097   *  DSP Group, Inc   502 
 275,400      Elan Microelectronics Corp   1,395 
 229,000      Elite Semiconductor Memory Technology, Inc   297 
 10,193      Elmos Semiconductor AG.   248 
 57,571      eMemory Technology, Inc   1,022 
 394,960   *  Enphase Energy, Inc   32,620 
 196,598      Entegris, Inc   14,615 
 8,341      Eo Technics Co Ltd   706 
 94,000      Episil-Precision, Inc   218 
 1,038,000      Epistar Corp   1,279 
 853,000      Everlight Electronics Co Ltd   1,099 
 212,060      Faraday Technology Corp   324 
 39,433      Ferrotec   340 
 133,770   *  First Solar, Inc   8,856 
 306,000      Forhouse Corp   116 
 362,222   *  Formfactor, Inc   9,030 
 153,000      Formosa Advanced Technologies Co Ltd   185 
 691,200      Formosa Sumco Technology Corp   2,525 
 58,376      Foxsemicon Integrated Technology, Inc   366 
 13,196,000   *,e  GCL Poly Energy Holdings Ltd   558 
 545,200   *  GCL System Integration Technology Co Ltd   304 
 30,437   *  GemVax & Kael Co Ltd   601 
 25,820      Gigadevice Semiconductor Beijing, Inc   659 
 68,000      Global Lighting Technologies, Inc   244 
 83,000      Global Unichip Corp   753 
 274,000      Globalwafers Co Ltd   3,666 
 491,233      Globetronics Technology BHD   315 
 259,000      Greatek Electronics, Inc   441 
 12,289   *,e  GSI Technology, Inc   69 
 85,000      Hangzhou Silan Microelectronics Co Ltd   202 
 21,323      Hanmi Semiconductor Co Ltd   190 
 171,000      Holtek Semiconductor, Inc   382 
 216,000   e,g  Hua Hong Semiconductor Ltd   832 
 1,216,993      Hynix Semiconductor, Inc   87,237 
 21,537   *  Ichor Holdings Ltd   465 
 75,839   *,e  Impinj, Inc   1,998 
 2,902,031      Infineon Technologies AG.   81,796 
 5,683   *  Innox Advanced Materials Co Ltd   231 
 196,263   *  Inphi Corp   22,031 
 9,043,760   e  Intel Corp   468,286 
 851,855   *,e  IQE plc   561 
 6,340   *  ITM Semiconductor Co Ltd   314 
 70,913      Japan Material Co Ltd   994 
148

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

           VALUE 
SHARES       COMPANY  (000) 
 64,000      Jentech Precision Industrial Co Ltd  $680 
 114,327   *,e  JinkoSolar Holding Co Ltd (ADR)   4,546 
 1,043,000      King Yuan Electronics Co Ltd   1,105 
 251,000      Kinsus Interconnect Technology Corp   577 
 138,106      KLA Corp   26,757 
 10,593      Koh Young Technology, Inc   811 
 331,894      Lam Research Corp   110,106 
 69,800      Land Mark Optoelectronics Corp   603 
 102,448      Lasertec Corp   8,421 
 496,005   *  Lattice Semiconductor Corp   14,364 
 9,464      LEENO Industrial Inc   997 
 175,000   *  Lite-On Semiconductor Corp   254 
 229,350      LONGi Green Energy Technology Co Ltd   2,537 
 30,278      Machvision, Inc   300 
 66,754   *  MACOM Technology Solutions Holdings, Inc   2,270 
 1,752,000      Macronix International   1,954 
 76,500      Malaysian Pacific Industries BHD   348 
 67,000      Marketech International Corp   243 
 4,375,076      Marvell Technology Group Ltd   173,691 
 8,543   *,e  Maxeon Solar Technologies Ltd   145 
 239,796      Maxim Integrated Products, Inc   16,213 
 121,149   *  MaxLinear, Inc   2,815 
 3,056,965      MediaTek, Inc   64,774 
 18,089      Megachips Corp   495 
 22,237      Melexis NV   1,730 
 217,059      Microchip Technology, Inc   22,305 
 2,867,870   *  Micron Technology, Inc   134,675 
 31,400      Micronics Japan Co Ltd   330 
 17,991      Mimasu Semiconductor Industry Co Ltd   413 
 22,206      Mitsui High-Tec, Inc   444 
 55,624      MKS Instruments, Inc   6,076 
 136,811      Monolithic Power Systems, Inc   38,254 
 110,852   *  Nanometrics, Inc   3,301 
 629,000      Nanya Technology Corp   1,264 
 2,173,860   *  Neo Solar Power Corp   875 
 227,705   *  NeoPhotonics Corp Ltd   1,387 
 15,865      NEPES Corp   425 
 158,081   *  Nordic Semiconductor ASA   1,631 
 51,833   *  Nova Measuring Instruments Ltd   2,722 
 285,452      Novatek Microelectronics Corp Ltd   2,633 
 101,000      Nuvoton Technology Corp   147 
 10,931   e  NVE Corp   536 
 1,414,974      NVIDIA Corp   765,812 
 1,883,445      NXP Semiconductors NV   235,073 
 374,045   *,e  ON Semiconductor Corp   8,113 
 37,952      Optorun Co Ltd   773 
 217,100      Pan Jit International, Inc   275 
 68,401      Parade Technologies Ltd   2,501 
 21,482   *,e  PDF Solutions, Inc   402 
 67,195      Phison Electronics Corp   620 
 103,610   *  Photronics, Inc   1,032 
 120,613      Pixart Imaging, Inc   748 
 33,141   *,e  Pixelworks, Inc   68 
 53,891   e  Power Integrations, Inc   2,986 
149

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

           VALUE 
SHARES       COMPANY  (000) 
 359,597      Powertech Technology, Inc  $1,081 
 100,911   *  Qorvo, Inc   13,019 
 3,500,341      QUALCOMM, Inc   411,920 
 1,337,983      Radiant Opto-Electronics Corp   5,131 
 382,322   *  Rambus, Inc   5,234 
 237,598      Realtek Semiconductor Corp   3,046 
 6,215,615   *  Renesas Electronics Corp   45,620 
 13,456      RFHIC Corp   472 
 48,000      RichWave Technology Corp   401 
 126,606      Rohm Co Ltd   9,788 
 10,907      Rorze Corp   518 
 8,800      RS Technologies Co Ltd   282 
 264,638      Sanan Optoelectronics Co Ltd   957 
 23,613      Sanken Electric Co Ltd   555 
 128,000      SDI Corp   262 
 1,799,647   *,e  Semiconductor Manufacturing International Corp   4,213 
 119,117   *  Semtech Corp   6,308 
 37,484      Seoul Semiconductor Co Ltd   550 
 8,400      SG Micro Corp   371 
 246,000   *,e  Shanghai Fudan Microelectronics Group Co Ltd   420 
 25,300      Shenzhen Goodix Technology Co Ltd   588 
 7,540      Shindengen Electric Manufacturing Co Ltd   144 
 665,500      Shinko Electric Industries   11,662 
 41,000      ShunSin Technology Holding Ltd   139 
 335,116      Sigurd Microelectronics Corp   440 
 192,588      Silergy Corp   11,418 
 79,857   *  Silicon Laboratories, Inc   7,814 
 10,225      Silicon Works Co Ltd   393 
 23,480      Siltronic AG.   2,104 
 477,838      Sino-American Silicon Products, Inc   1,610 
 16,211   *  SiTime Corp   1,362 
 105,567      Sitronix Technology Corp   480 
 837,113      Skyworks Solutions, Inc   121,800 
 11,735   *  SMA Solar Technology AG.   525 
 12,096   *  SMART Global Holdings, Inc   331 
 24,594   *,e  SOITEC   3,541 
 70,800   *  SolarEdge Technologies, Inc   16,875 
 1,495,042   *  STMicroelectronics NV   45,853 
 79,482   *  STS Semiconductor & Telecommunications   345 
 2,267,016      Sumco Corp   31,986 
 204,168   *,e  SunPower Corp   2,554 
 61,636   *  Synaptics, Inc   4,957 
 201,000      Taiwan Semiconductor Co Ltd   283 
 40,283,358   *  Taiwan Semiconductor Manufacturing Co Ltd   606,026 
 1,528,310   *  Taiwan Semiconductor Manufacturing Co Ltd (ADR)   123,900 
 1,047,847      Taiwan Surface Mounting Technology Co Ltd   3,797 
 268,741      Teradyne, Inc   21,354 
 12,514      TES Co Ltd   274 
 1,536,359      Texas Instruments, Inc   219,377 
 156,200      Tianjin Zhonghuan Semiconductor Co Ltd   510 
 157,500      Tianshui Huatian Technology Co Ltd   319 
 4,129      Tokai Carbon Korea Co Ltd   336 
 139,889      Tokyo Electron Ltd   36,547 
 42,600      Tokyo Seimitsu Co Ltd   1,357 
150

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

           VALUE 
SHARES       COMPANY  (000) 
 65,000   *  TongFu Microelectronics Co Ltd  $220 
 341,330      Topco Scientific Co Ltd   1,354 
 19,513      Toptec Co Ltd   271 
 664,473   *  Tower Semiconductor Ltd   12,107 
 111,162   *  Tower Semiconductor Ltd (Tel Aviv)   2,064 
 6,100      Tri Chemical Laboratories, Inc   712 
 1,746,000   *,†  Trony Solar Holdings Co Ltd.   2 
 7,119   e  U-Blox AG.   396 
 88,035   *  Ultra Clean Holdings   1,889 
 51,244      Ulvac, Inc   1,867 
 15,641,071      United Microelectronics Corp   15,428 
 103,216      Universal Display Corp   18,655 
 902,628      Vanguard International Semiconductor Corp   3,020 
 77,785   *,e  Veeco Instruments, Inc   908 
 190,000   *  Via Technologies, Inc   239 
 66,100   *  Visionox Technology, Inc   153 
 136,068      Visual Photonics Epitaxy Co Ltd   373 
 152,000      ViTrox Corp BHD   446 
 464,975      Wafer Works Corp   553 
 31,700      Will Semiconductor Ltd   831 
 4,900,000      Win Semiconductors Corp   48,859 
 1,662,000      Winbond Electronics Corp   810 
 28,101      WONIK IPS Co Ltd   799 
 123,700      Wuxi Taiji Industry Co Ltd   187 
 38,917   *,g  X-Fab Silicon Foundries SE   135 
 27,690   *,e,g  X-Fab Silicon Foundries SE   96 
 314,162      Xilinx, Inc   32,748 
 149,000   *  XinTec, Inc   609 
 3,709,000      Xinyi Solar Holdings Ltd   5,913 
 65,300      Zhejiang Jingsheng Mechanical & Electrical Co Ltd   296 
        TOTAL SEMICONDUCTORS & SEMICONDUCTOR EQUIPMENT   5,846,315 
              
SOFTWARE & SERVICES - 11.4%     
 84,840   *  21Vianet Group, Inc (ADR)   1,965 
 128,541   *  2U, Inc   4,352 
 122,000      360 Security Technology, Inc   299 
 88,577   *  8x8, Inc   1,377 
 162,102   *  A10 Networks, Inc   1,033 
 996,012   e  Accenture plc   225,089 
 112,554   *,e  ACI Worldwide, Inc   2,941 
 542,090   *  Adobe, Inc   265,857 
 72,792   *,g  Adyen NV   134,264 
 612,530   *  Afterpay Touch Group Ltd   36,105 
 3,340,000   *  AGTech Holdings Ltd   125 
 5,596      Ahnlab, Inc   315 
 821   *  AI inside, Inc   346 
 119,800      Aisino Corp   279 
 123,310   *  Akamai Technologies, Inc   13,631 
 109,063   *  Alarm.com Holdings, Inc   6,026 
 79,451   *,g  Alfa Financial Software Holdings plc   128 
 68,969      Alliance Data Systems Corp   2,895 
 7,100   *,e  Alpha Systems, Inc   246 
 40,162   *,e  Altair Engineering, Inc   1,686 
 32,346      Alten   3,064 
151

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

           VALUE 
SHARES       COMPANY  (000) 
 77,094   *,e  Alteryx, Inc  $8,754 
 130,848      Altium Ltd   3,402 
 552,048      Amadeus IT Holding S.A.   30,659 
 135,283   e  Amdocs Ltd   7,767 
 26,859   *  American Software, Inc (Class A)   377 
 934,889   *  Anaplan, Inc   58,505 
 68,508   *  Ansys, Inc   22,418 
 174,543      Appen Ltd   4,315 
 14,732   *  Appfolio, Inc   2,089 
 30,690   *,e  Appian Corp   1,987 
 17,600      Argo Graphics, Inc   605 
 100,060   *  Aspen Technology, Inc   12,667 
 78,733      Asseco Poland S.A.   1,415 
 21,997   *,e  Asure Software, Inc   166 
 180,159   *  Atlassian Corp plc   32,751 
 93,854      Atos Origin S.A.   7,542 
 8,244      Aubay   303 
 316,392   *  Autodesk, Inc   73,090 
 636,697      Automatic Data Processing, Inc   88,813 
 148,090   *  Avalara, Inc   18,858 
 1,569,407   g  Avast plc   10,655 
 313,045   *  Avaya Holdings Corp   4,758 
 60,504      Aveva Group plc   3,732 
 76,400   *,e  BASE, Inc   8,054 
 9,744   *  BasWare Oyj   433 
 137,587      Bechtle AG.   27,840 
 22,680      Beijing E-Hualu Information Technology Co Ltd   117 
 51,970      Beijing Shiji Information Technology Co Ltd   294 
 89,400      Beijing Sinnet Technology Co Ltd   295 
 66,480   *  Benefitfocus, Inc   745 
 12,693   *  BigCommerce Holdings, Inc   1,057 
 81,698   *  Bill.Com Holdings, Inc   8,195 
 275,595   *  Black Knight, Inc   23,991 
 57,522      Blackbaud, Inc   3,211 
 491,369   *  Blackberry Ltd (New)   2,255 
 97,022   *  Blackline, Inc   8,696 
 279,077   *,e  Blue Prism Group plc   4,796 
 260,694      Booz Allen Hamilton Holding Co   21,632 
 34,730   *  Bottomline Technologies, Inc   1,464 
 563,325   *  Box, Inc   9,779 
 286,497      Bravura Solutions Ltd   707 
 222,643   *  Brightcove, Inc   2,280 
 92,000      Broadleaf Co Ltd   478 
 164,761      Broadridge Financial Solutions, Inc   21,748 
 107,857   *  CACI International, Inc (Class A)   22,991 
 416,010   *  Cadence Design Systems, Inc   44,359 
 31,737   *  Cafe24 Corp   1,619 
 42,870      Cancom SE   2,214 
 168,454      Cap Gemini S.A.   21,612 
 35,080   *  Cardtronics plc   695 
 11,103      Cass Information Systems, Inc   447 
 177,411      CDK Global, Inc   7,733 
 61,502   *  Cerence Inc   3,006 
 159,016   *  Ceridian HCM Holding, Inc   13,143 
152

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

           VALUE 
SHARES       COMPANY  (000) 
 219,499   *  CGI, Inc  $14,899 
 17,200   *,e  Change, Inc   1,379 
 185,894   *  ChannelAdvisor Corp   2,690 
 283,500   *,e  Chatwork Co Ltd   5,435 
 654,806   *,e  Check Point Software Technologies   78,799 
 13,200,000   *  China Innovationpay Group Ltd   2,785 
 23,000      China National Software & Service Co Ltd   282 
 75,600      China TransInfo Technology Co Ltd   245 
 15,464,000   e  Chinasoft International Ltd   11,291 
 1,195,713      Cielo S.A.   837 
 90,095      Citrix Systems, Inc   12,407 
 481,085   *  Cloudera, Inc   5,239 
 996,932   *  Cloudflare, Inc   40,934 
 385,681      Cognizant Technology Solutions Corp (Class A)   26,774 
 147,047   *  Commvault Systems, Inc   6,000 
 117,852      Computacenter plc   3,599 
 57,436      Computer Engineering & Consulting Ltd   891 
 450,828      Computershare Ltd   3,988 
 25,288   e  Comture Corp   635 
 702,258   *  Conduent, Inc   2,233 
 20,922      Constellation Software, Inc   23,249 
 165,830      CoreLogic Inc   11,222 
 62,112   *  Cornerstone OnDemand, Inc   2,258 
 47,268   *  Coupa Software, Inc   12,963 
 38,279   *,g  Crayon Group Holding ASA   501 
 221,755   *  Crowdstrike Holdings, Inc   30,451 
 51,400      CSG Systems International, Inc   2,105 
 108,472   *  CyberArk Software Ltd   11,218 
 101,680      Cybozu, Inc   3,212 
 532,449      Dassault Systemes S.A.   99,345 
 166,964      Data#3 Ltd   794 
 243,380   *  Datadog, Inc   24,864 
 4,713      Datagroup SE   246 
 523,200   *  Descartes Systems Group, Inc   29,803 
 5,753      Devoteam S.A.   655 
 198,100      DHC Software Co Ltd   298 
 11,025   *,e  Digimarc Corp   246 
 12,700   e  Digital Arts, Inc   1,041 
 1,710,831   e  Digital China Holdings Ltd   1,421 
 37,313      Digital Garage, Inc   1,274 
 245,767   *  Digital Turbine, Inc   8,046 
 158,030   *  DocuSign, Inc   34,014 
 134,545   *  Domo, Inc   5,157 
 192,966   *  Dropbox, Inc   3,717 
 45,300      DTS Corp   964 
 20,471   *  Duck Creek Technologies, Inc   930 
 17,039      DuzonBIzon Co Ltd   1,518 
 169,197      DXC Technology Co   3,020 
 869,100   *  Dye & Durham Ltd   14,503 
 352,215   *  Dynatrace, Inc   14,448 
 24,100   *  Ebase Co Ltd   315 
 29,954   e  Ebix, Inc   617 
 138,942   e  Econocom Group S.A.   419 
 136,676      Edenred   6,136 
153

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

           VALUE 
SHARES       COMPANY  (000) 
 24,290   *  eGain Corp  $344 
 82,730   *,e  Elastic NV   8,926 
 88,748      Ementor ASA   1,093 
 319,003   *,e  EML Payments Ltd   664 
 165,745   *  Endurance International Group Holdings, Inc   951 
 45,125      Enghouse Systems Ltd   2,466 
 46,609   *  Envestnet, Inc   3,596 
 40,983   *  EPAM Systems, Inc   13,249 
 391,555   g  Equiniti Group plc   574 
 42,365   *  Euronet Worldwide, Inc   3,859 
 49,389   *  Everbridge, Inc   6,210 
 154,746      EVERTEC, Inc   5,371 
 57,323   *  Evo Payments, Inc   1,424 
 36,587   *  ExlService Holdings, Inc   2,414 
 40,981   *  Fair Isaac Corp   17,433 
 114,312   *  Fastly, Inc   10,709 
 1,571,785      Fidelity National Information Services, Inc   231,382 
 108,403   *,†,g  Finablr plc   1 
 174,055   *  FireEye, Inc   2,149 
 103,787      First Derivatives plc   4,431 
 615,012   *  Fiserv, Inc   63,377 
 127,719   *,e  Five9, Inc   16,563 
 24,400      Fixstars Corp   264 
 69,476   *  FleetCor Technologies, Inc   16,542 
 11,202      Formula Systems 1985 Ltd   949 
 103,148   *  Fortinet, Inc   12,152 
 52,709      Fortnox AB   1,589 
 181,916   *,e  Freee KK   13,796 
 92,982   *  F-Secure Oyj   367 
 27,584      FUJI SOFT, Inc   1,422 
 226,573      Fujitsu Ltd   30,954 
 9,327      Fukui Computer Holdings, Inc   272 
 24,100      Future Architect, Inc   501 
 62,184   *  Gartner, Inc   7,770 
 368,720      GB Group plc   3,339 
 700,996   *  GDS Holdings Ltd (ADR)   57,363 
 336,205      Genpact Ltd   13,095 
 218,506   g  Global Dominion Access S.A.   892 
 767,653      Global Payments, Inc   136,320 
 102,503   *  Globant S.A.   18,371 
 43,400      Glodon Co Ltd   467 
 5,700   e  GMO Cloud KK   547 
 115,670      GMO internet, Inc   3,030 
 96,477      GMO Payment Gateway, Inc   10,335 
 246,150   *  GoDaddy, Inc   18,700 
 96,195   *,e  GreenSky, Inc   427 
 37,016   *,e  GTT Communications, Inc   191 
 34,464   *,e  GTY Technology Holdings Inc   91 
 16,871   *  Guidewire Software, Inc   1,759 
 98,999      Hackett Group, Inc   1,107 
 178,892      Hansen Technologies Ltd   500 
 1,051,853      HCL Technologies Ltd   11,597 
 62,000   *,e  Hennge KK   3,998 
 16,890      Hexaware Technologies Ltd   107 
154

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

           VALUE 
SHARES       COMPANY  (000) 
 1,622,501   *  Hi Sun Technology China Ltd  $179 
 16,494      Hilan Ltd   720 
 213,437   *  HubSpot, Inc   62,373 
 395,600   *,e,g  Huifu Payment Ltd   106 
 52,868      Hundsun Technologies, Inc   769 
 4,837      Hyundai Autoever Corp   255 
 13,300   *,e  I3 Verticals, Inc   336 
 188,002      Ideagen plc   462 
 150,400      Iflytek Co Ltd   761 
 149,206   *,e  Indra Sistemas S.A.   1,061 
 20,009      Ines Corp   310 
 284,686      Inesa Intelligent Tech, Inc - B   143 
 25,953      Infocom Corp   999 
 3,527,300      Infomart Corp   31,294 
 35,987   *,e  Information Services Group, Inc   76 
 12,874      Information Services International-Dentsu Ltd   811 
 3,280,179      Infosys Technologies Ltd   45,103 
 388,000      Inspur International Ltd   97 
 116,638      Integrated Research Ltd   297 
 18,445   *,e  Intelligent Systems Corp   719 
 1,187,779      International Business Machines Corp   144,517 
 18,311   *,e  International Money Express Inc   263 
 610,686      Intuit, Inc   199,212 
 97,199   e  iomart Group plc   445 
 191,873      Iress Market Technology Ltd   1,333 
 155,727      IT Holdings Corp   3,308 
 90,500      Itochu Techno-Science Corp   3,433 
 62,258   *  j2 Global, Inc   4,310 
 61,362      Jack Henry & Associates, Inc   9,977 
 28,314   *,e  Jamf Holding Corp   1,065 
 17,400   *  JMDC, Inc   769 
 35,657      Justsystems Corp   2,526 
 89,027      Kainos Group plc   1,141 
 12,886      Kanematsu Electronics Ltd   523 
 86,700   *  Kaonavi, Inc   5,316 
 237,002      KBR, Inc   5,299 
 793,374      Keywords Studios plc   22,276 
 76,234      Kginicis Co Ltd   1,325 
 158,701   *  Kinaxis, Inc   23,361 
 2,337,000      Kingdee International Software Group Co Ltd   6,096 
 1,832,161      Kingsoft Corp Ltd   9,231 
 17,712   e  LAC Co Ltd   216 
 1,214,614   *  Laybuy Group Holdings Ltd   1,309 
 3,142,435      Learning Technologies Group plc   5,312 
 194,321      Leidos Holdings, Inc   17,324 
 417,654   *  Lightspeed POS, Inc   13,381 
 359,654   *  Limelight Networks, Inc   2,072 
 588,289      Link Administration Holdings Ltd   1,589 
 135,986      Linx S.A.   838 
 138,081   *  Liveperson, Inc   7,179 
 155,730   *  LiveRamp Holdings, Inc   8,062 
 78,282   *,g  Locaweb Servicos de Internet S.A.   831 
 24,990      Lotte Data Communication Co   747 
 95,135   *  Manhattan Associates, Inc   9,084 
155

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

           VALUE 
SHARES       COMPANY  (000) 
 52,116      Mantech International Corp (Class A)  $3,590 
 2,276,276      Mastercard, Inc (Class A)   769,768 
 36,636      Matrix IT Ltd   861 
 70,787      MAXIMUS, Inc   4,843 
 66,898   *,e  Medallia, Inc   1,834 
 19,000   *,e  Medley, Inc   918 
 508,880   *  Megaport Ltd   5,902 
 366,774      Micro Focus International plc   1,166 
 17,092,967      Microsoft Corp   3,595,164 
 8,112   *  MicroStrategy, Inc (Class A)   1,221 
 64,080   *,e  Mimecast Ltd   3,007 
 58,685      MindTree Ltd   1,067 
 24,300      Miroku Jyoho Service Co Ltd   508 
 148,059   *  Mitek Systems, Inc   1,886 
 20,267      Mitsubishi Research Institute, Inc   854 
 74,257   *  MobileIron, Inc   521 
 137,979   *  Model N, Inc   4,868 
 20,294   *  Money Forward, Inc   1,469 
 104,372   *,e  MoneyGram International, Inc   295 
 37,371   *,e  MongoDB, Inc   8,652 
 81,101      Mphasis Ltd   1,524 
 2,143,500      My EG Services BHD   680 
 852,000   *,†,e  National Agricultural Holdings Ltd   1 
 296,533      NCC Group plc   673 
 11,034   *,e  nCino, Inc   879 
 2,046,978   *,e  nearmap Ltd   3,514 
 238,920      NEC Corp   13,975 
 77,743      NEC Networks & System Integration Corp   1,494 
 53,920      Nemetschek AG.   3,941 
 97,406      NET One Systems Co Ltd   4,426 
 57,008   *,g  Netcompany Group A.S.   4,728 
 208,537   e  NetEnt AB   1,769 
 584,379   g  Network International Holdings plc   2,055 
 40,371   *  New Relic, Inc   2,275 
 59,800      Newland Digital Technology Co Ltd   140 
 482,892   *,e,g  Nexi S.p.A   9,678 
 5,002,323   *  NEXTDC Ltd   44,391 
 11,599      NHN KCP Corp   678 
 165,036      NIC, Inc   3,251 
 69,940   *  Nice Systems Ltd   15,857 
 111,438   e  Nihon Unisys Ltd   3,516 
 16,884      NIIT Technologies Ltd   533 
 79,500   e  Nippon System Development Co Ltd   1,562 
 382,790      Nomura Research Institute Ltd   11,271 
 396,562      NortonLifelock, Inc   8,264 
 37,292   e  NS Solutions Corp   1,149 
 589,645      NTT Data Corp   7,546 
 412,241   *  Nuance Communications, Inc   13,682 
 370,106   *  Nutanix, Inc   8,209 
 85,000   *  Nuvei Corp   3,589 
 23,400   e  OBIC Business Consultants Ltd   1,356 
 65,510      Obic Co Ltd   11,521 
 181,125   *  Okta, Inc   38,734 
 27,555   *  OneSpan, Inc   578 
156

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

           VALUE 
SHARES       COMPANY  (000) 
 410,569   e  Open Text Corp  $17,342 
 259,024      Open Text Corp (Toronto)   10,948 
 18,600   *  Optim Corp   568 
 2,330,620      Oracle Corp   139,138 
 56,939   *  Oracle Corp Japan   6,148 
 7,438   e  Oro Co Ltd   247 
 168,538      Otsuka Corp   8,613 
 113,747   *,e  Pagerduty, Inc   3,084 
 210,650   *  Pagseguro Digital Ltd   7,944 
 67,446   *  Palo Alto Networks, Inc   16,507 
 10,806   *,e  Park City Group, Inc   53 
 465,626      Paychex, Inc   37,143 
 70,918   *  Paycom Software, Inc   22,077 
 70,871   *  Paylocity Holding Corp   11,440 
 3,796,189   *  PayPal Holdings, Inc   747,963 
 28,202   *,e  Paysign Inc   160 
 93,994      Pegasystems, Inc   11,377 
 50,698   *  Perficient, Inc   2,167 
 36,507      Persistent Systems Ltd   664 
 688,869   e  Perspecta, Inc   13,399 
 12,579   *  PFSweb, Inc   84 
 31,831   *,e  Ping Identity Holding Corp   993 
 15,400   *,e  PKSHA Technology, Inc   402 
 154,836   *  Pluralsight, Inc   2,652 
 51,018      POSDATA Co Ltd   302 
 6,851   *,e  Priority Technology Holdings Inc   22 
 311,216   e  Progress Software Corp   11,415 
 517,109   *  Proofpoint, Inc   54,581 
 33,587   *  PROS Holdings, Inc   1,073 
 154,710   *  PTC, Inc   12,798 
 202,424   *  Pushpay Holdings Ltd   1,192 
 43,963   *  Q2 Holdings, Inc   4,012 
 8,751      QAD, Inc (Class A)   369 
 57,155   *,e  Qualys, Inc   5,602 
 24,546   *,e  Rackspace Technology, Inc   473 
 81,400   e  Rakus Co Ltd   1,460 
 56,930   *  Rapid7, Inc   3,486 
 171,102   *  RealPage, Inc   9,862 
 170,540   *  Repay Holdings Corp   4,008 
 22,952      Reply S.p.A   2,645 
 18,583   *,e  Rimini Street, Inc   60 
 122,921   *  RingCentral, Inc   33,755 
 151,794   *  Rosetta Stone, Inc   4,551 
 394,890      Sabre Corp   2,571 
 1,044,777      Sage Group plc   9,709 
 200,203   *  SailPoint Technologies Holding, Inc   7,922 
 48,220      Saipens International Corp NV   1,503 
 3,462,965   *  salesforce.com, Inc   870,312 
 17,172      Samsung SDS Co Ltd   2,486 
 19,245      Sangfor Technologies, Inc   600 
 15,700   *  Sansan, Inc   1,017 
 1,204,653      SAP AG.   187,586 
 20,054   e  Sapiens International Corp NV   613 
 86,465      Science Applications International Corp   6,781 
157

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

           VALUE 
SHARES       COMPANY  (000) 
 28,572   *  Seachange International, Inc  $25 
 25,104   *,e  SecureWorks Corp   286 
 3,800   *  Serverworks Co Ltd   249 
 804,673   *  ServiceNow, Inc   390,266 
 77,579   *,e  ServiceSource International LLC   114 
 425,012      Shanghai 2345 Network Holding Group Co Ltd   178 
 37,300      Shanghai Baosight Software Co Ltd   398 
 60,900      Shenzhen Kingdom Sci-Tech Co Ltd   162 
 313,172   *  SHIFT, Inc   46,968 
 138,560   *  Shopify, Inc (Class A) (Toronto)   141,696 
 7,507   *,e  ShotSpotter, Inc   233 
 929,741      Silverlake Axis Ltd   199 
 44,967      SimCorp AS   5,899 
 39,584   *,e,g  Sinch AB   3,228 
 1,483,428   *,e  Slack Technologies, Inc   39,845 
 90,866   *  Smartsheet, Inc   4,491 
 258,827   *  Smith Micro Software, Inc   965 
 10,100   e  Softbank Technology Corp   355 
 133,217      Softcat plc   2,071 
 57,631      Software AG.   2,843 
 37,398   *,e  SolarWinds Corp   761 
 88,324   *  Solutions 30 SE   1,854 
 440,409      Sonda S.A.   314 
 30,300      Sopra Group S.A.   4,803 
 91,662   e  Sourcenext Corp   278 
 142,224   *  Splunk, Inc   26,757 
 54,189   *  Sprout Social, Inc   2,086 
 237,861   *  SPS Commerce, Inc   18,522 
 405,725   *  Square, Inc   65,951 
 324,725      SS&C Technologies Holdings, Inc   19,652 
 34,431   *,e  StarTek, Inc   181 
 722,925   *  StoneCo Ltd   38,236 
 54,649      Sumisho Computer Systems Corp   3,058 
 789,224      SUNeVision Holdings Ltd   647 
 594,776   *  SVMK, Inc   13,150 
 254,727      Switch, Inc   3,976 
 75,012   *,e  Sykes Enterprises, Inc   2,566 
 104,923   *  Synchronoss Technologies, Inc   316 
 992,333   *  Synopsys, Inc   212,339 
 77,628   e  Systena Corp   1,354 
 370,851      Systex Corp   1,058 
 853,145      Tata Consultancy Services Ltd   28,864 
 20,828      Tata Elxsi Ltd   365 
 401,998   *,g  TeamViewer AG.   19,826 
 237,106      Tech Mahindra Ltd   2,552 
 95,700      TechMatrix Corp   2,085 
 262,494      Technology One Ltd   1,504 
 123,526   *  TeleNav, Inc   445 
 23,891      Temenos Group AG.   3,211 
 282,981   *  Tenable Holdings, Inc   10,683 
 85,763   *,e  Teradata Corp   1,947 
 19,100      Thunder Software Technology Co Ltd   243 
 111,818   e  Tietoenator Oyj   3,091 
 15,070      TKC   979 
158

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

           VALUE 
SHARES       COMPANY  (000) 
 443,968      Totvus S.A.  $2,142 
 59,522   *  Trade Desk, Inc   30,879 
 27,561   *  Trans Cosmos, Inc/Japan   752 
 453,000      Travelsky Technology Ltd   974 
 162,624   *  Trend Micro, Inc   9,910 
 14,879      TTEC Holdings, Inc   812 
 7,640   *,e  Tucows, Inc   526 
 305,725   *  Twilio, Inc   75,542 
 56,984   *  Tyler Technologies, Inc   19,862 
 211,012   *  Tyro Payments Ltd   549 
 159,137   *  Unifiedpost Group S.A.   4,103 
 88,465   *  Unisys Corp   944 
 11,982   *  UNITED, Inc   168 
 38,482   *  Upland Software, Inc   1,451 
 483,385   *  Upwork, Inc   8,430 
 395,145      Vakrangee Ltd   155 
 27,596   *  Varonis Systems, Inc   3,185 
 38,600      Venustech Group, Inc   197 
 230,245   *  Verint Systems, Inc   11,093 
 400,976   *,e  VeriSign, Inc   82,140 
 20,319   *,e  Veritone, Inc   186 
 154,905   *  Verra Mobility Corp   1,496 
 76,516   e  VirnetX Holding Corp   403 
 24,783   *  Virtusa Corp   1,218 
 4,211,592   e  Visa, Inc (Class A)   842,192 
 57,996   e  VMware, Inc (Class A)   8,332 
 133,895      Wangsu Science & Technology Co Ltd   159 
 1,178,000   *,e,g  Weimob, Inc   1,594 
 331,340   e  Western Union Co   7,101 
 37,036   *  WEX, Inc   5,147 
 1,083,374      Wipro Ltd   4,610 
 135,634      Wisetech Global Ltd   2,540 
 59,199   *  Wix.com Ltd   15,087 
 57,300   *  Wonders Information Co Ltd   202 
 130,788   *  Workday, Inc   28,136 
 68,187   *  Workiva, Inc   3,802 
 166,420   *,g  Worldline S.A.   13,627 
 256,493      Xperi Holding Corp   2,947 
 85,751   *,e  Yext, Inc   1,302 
 180,896      Yonyou Network Technology Co Ltd   1,020 
 365,144   *  Zendesk, Inc   37,581 
 45,410   *  Zix Corp   265 
 247,999   *  Zoom Video Communications, Inc   116,587 
 92,457   *  Zscaler, Inc   13,008 
 15,700   *  Zuken, Inc   425 
 307,982   *,e  Zuora Inc   3,185 
        TOTAL SOFTWARE & SERVICES   12,802,193 
              
TECHNOLOGY HARDWARE & EQUIPMENT - 5.8%     
 173,094   *,e  3D Systems Corp   850 
 356,922   e  AAC Technologies Holdings, Inc   1,942 
 34,000      Accelink Technologies Co Ltd   176 
 476,000      Accton Technology Corp   3,683 
 1,524,130      Acer, Inc   1,313 
159

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

           VALUE 
SHARES       COMPANY  (000) 
 72,600      Addsino Co Ltd  $228 
 82,000      Adlink Technology, Inc   187 
 93,550   e  Adtran, Inc   959 
 132,098   *  ADVA AG. Optical Networking   935 
 42,000      Advanced Ceramic X Corp   570 
 191,657      Advantech Co Ltd   1,939 
 57,493   *  Agilysys, Inc   1,389 
 41,406      Ai Holdings Corp   764 
 29,255   *,e  Akoustis Technologies, Inc   239 
 481,500      Alps Electric Co Ltd   6,490 
 7,072      ALSO Holding AG.   1,873 
 64,750      Amano Corp   1,506 
 262,280      Amphenol Corp (Class A)   28,397 
 383,793   e  Anritsu Corp   8,746 
 34,129,161   d,n  Apple, Inc   3,952,498 
 30,491   *,e  Applied Optoelectronics, Inc   343 
 129,409      Arcadyan Technology Corp   383 
 61,646   *  Arista Networks, Inc   12,756 
 403,944   *  Arlo Technologies, Inc   2,125 
 110,030   *  Arrow Electronics, Inc   8,655 
 206,000      Asia Optical Co, Inc   461 
 261,000      Asia Vital Components Co Ltd   609 
 39,000      ASROCK, Inc   240 
 362,444      Asustek Computer, Inc   3,189 
 80,000      Aten International Co Ltd   229 
 4,470,593      AU Optronics Corp   1,741 
 25,030      Audiocodes Ltd   794 
 59,000      AURAS Technology Co Ltd   492 
 35,598      Aurora Corp   104 
 28,598      Austria Technologie & Systemtechnik AG.   540 
 59,400      AVIC Jonhon Optronic Technology Co Ltd   405 
 43,449   *,e  Avid Technology, Inc   372 
 162,948      Avnet, Inc   4,211 
 41,509      Badger Meter, Inc   2,713 
 75,482      Barco NV   1,584 
 4,178      Basler AG.   247 
 7,104      Bel Fuse, Inc (Class B)   76 
 69,718   e  Belden CDT, Inc   2,170 
 57,110      Benchmark Electronics, Inc   1,151 
 3,462,798      Benq Corp   2,226 
 21,469   *  BH Co Ltd   388 
 1,085,300      BOE Technology Group Co Ltd   788 
 173,745      Brother Industries Ltd   2,764 
 345,000   e  BYD Electronic International Co Ltd   1,751 
 43,291   *  CalAmp Corp   311 
 338,194   *  Calix, Inc   6,013 
 24,156   *  Cambium Networks Corp   407 
 198,000   †,e  Camsing International Holding Ltd    0^
 21,400   *  Canon Electronics, Inc   300 
 51,490      Canon Marketing Japan, Inc   1,033 
 807,048      Canon, Inc   13,386 
 401,996      Career Technology Co Ltd   378 
 43,835   g  Carel Industries S.p.A   926 
 28,569   *,e  Casa Systems, Inc   115 
160

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

           VALUE 
SHARES       COMPANY  (000) 
 159,943      Casetek Holdings Ltd  $479 
 353,857      Catcher Technology Co Ltd   2,236 
 405,980      CDW Corp   48,527 
 246,598   *  Celestica, Inc   1,704 
 120,900      Chaozhou Three-Circle Group Co Ltd   515 
 28,000      Chaun-Choung Technology Corp   251 
 1,193,481      Cheng Uei Precision Industry Co Ltd   1,699 
 286,977      Chicony Electronics Co Ltd   838 
 210,179      Chilisin Electronics Corp   724 
 489,600   *,†  China Fiber Optic Network System Group Ltd   1 
 155,100      China Greatwall Technology Group Co Ltd   367 
 1,039,000   g  China Railway Signal & Communication Corp Ltd   343 
 315,000      Chin-Poon Industrial Co   317 
 340,840      Chroma ATE, Inc   1,817 
 18,000      Chunghwa Precision Test Tech Co Ltd   439 
 301,296   *  Ciena Corp   11,958 
 9,714,362   n  Cisco Systems, Inc   382,649 
 300,100      Citizen Watch Co Ltd   842 
 9,929   *,e  Clearfield, Inc   200 
 365,393      Clevo Co   368 
 940,743      CMC Magnetics Corp   255 
 46,500   *  CMK Corp   214 
 240,233      Cognex Corp   15,639 
 22,589   *  Coherent, Inc   2,506 
 1,684,312   e  Comba Telecom Systems Holdings Ltd   601 
 7,872      Comet Holding AG.   1,207 
 1,947,170   *  CommScope Holding Co, Inc   17,525 
 2,044,388      Compal Electronics, Inc   1,352 
 2,955,000      Compeq Manufacturing Co   4,206 
 53,739      Comtech Telecommunications Corp   752 
 93,249      Concraft Holding Co Ltd   275 
 355,600      Coretronic Corp   412 
 803,466      Corning, Inc   26,040 
 48,191      CTS Corp   1,062 
 55,740      Daea TI Co Ltd   334 
 17,502      Daeduck Electronics Co   92 
 34,594   *  Daeduck Electronics Co Ltd   315 
 11,533   *  Dai-ichi Seiko Co Ltd   239 
 91,114      Daiwabo Co Ltd   5,894 
 47,472   e  Daktronics, Inc   188 
 180,421      Darfon Electronics Corp   237 
 16,600   e  Datalogic S.p.A.   231 
 155,295      DataTec Ltd   205 
 71,780      Dawning Information Industry Co Ltd   400 
 1,354,204   *  Dell Technologies, Inc   91,666 
 984,999      Delta Electronics, Inc   6,468 
 10,199      Denki Kogyo Co Ltd   254 
 56,401      Dexerials Corp   594 
 54,770      Dicker Data Ltd   303 
 189,318   *  Diebold, Inc   1,446 
 58,719   *  Digi International, Inc   918 
 57,381      Dolby Laboratories, Inc (Class A)   3,803 
 11,250   *  Doosan Solus Co Ltd   378 
 17,530   *,e  DZS, Inc   164 
161

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

           VALUE 
SHARES       COMPANY  (000) 
 21,225   *,e  Eastman Kodak Co  $187 
 66,840   *  EchoStar Corp (Class A)   1,664 
 55,000      Egis Technology, Inc   322 
 16,624      Eizo Nanao Corp   647 
 23,448      Elecom Co Ltd   1,153 
 2,205,758      Electrocomponents plc   20,218 
 19,400      Elematec Corp   183 
 258,270      Elite Material Co Ltd   1,313 
 54,704      Ennoconn Corp   441 
 10,200      Enplas Corp   218 
 66,210   *  ePlus, Inc   4,847 
 4,382,586      Ericsson (LM) (B Shares)   47,960 
 18,601      ESPEC Corp   332 
 29,476      Evertz Technologies Ltd   252 
 305,228   *,e  Extreme Networks, Inc   1,227 
 69,751   *  F5 Networks, Inc   8,563 
 158,173   *,e  Fabrinet   9,970 
 49,292   *  FARO Technologies, Inc   3,006 
 50,400      Fiberhome Telecommunication Technologies Co Ltd   177 
 3,713,117   *,e  FIH Mobile Ltd   531 
 330,274   *,e  Fingerprint Cards AB   658 
 205,633      Firich Enterprises Co Ltd   186 
 260,395   *  Fitbit, Inc   1,812 
 306,392      FLEXium Interconnect, Inc   1,296 
 191,994      FLIR Systems, Inc   6,883 
 104,310      Flytech Technology Co Ltd   222 
 9,222,653      Foxconn Industrial Internet Co Ltd   18,503 
 1,498,266      Foxconn Technology Co Ltd   2,678 
 26,100      Fujian Star-net Communication Co Ltd   98 
 305,729      Fujifilm Holdings Corp   15,070 
 227,000      General Interface Solution Holding Ltd   985 
 74,378      Genius Electronic Optical Co Ltd   1,522 
 351,271      Getac Technology Corp   556 
 487,123      Gigabyte Technology Co Ltd   1,279 
 34,558      Gilat Satellite Networks Ltd   194 
 13,488,000   e  Glory Sun Financial Group Ltd   611 
 102,700      GoerTek, Inc   614 
 325,000   *  Gold Circuit Electronics Ltd   506 
 146,300      GRG Banking Equipment Co Ltd   263 
 307,200      Guangdong LY Intelligent Manufacturing Co Ltd   509 
 127,700      Guangzhou Haige Communications Group, Inc Co   220 
 40,793      Guangzhou Shiyuan Electronic Technology Co Ltd   585 
 802,714      Halma plc   24,251 
 115,184      Hamamatsu Photonics KK   5,821 
 524,600      Hana Microelectronics PCL (Foreign)   724 
 8,445,233      Hangzhou Hikvision Digital Technology Co Ltd   47,536 
 1,081,365      Hannstar Board Corp   1,480 
 2,351,330      HannStar Display Corp   695 
 140,429   *  Harmonic, Inc   784 
 77,100      Hengtong Optic-electric Co Ltd   164 
 890,735      Hewlett Packard Enterprise Co   8,346 
 162,931      Hexagon AB (B Shares)   12,307 
 7,535   *  HFR, Inc   229 
 636,000      High Tech Computer Corp   632 
162

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

           VALUE 
SHARES       COMPANY  (000) 
 10,200      Hioki EE Corp  $402 
 22,558      Hirose Electric Co Ltd   2,915 
 3,027,009   *  Hitachi Ltd   102,493 
 31,989   e  HMS Networks AB   731 
 13,239      Hochiki Corp   162 
 92,100      Holitech Technology Co Ltd   68 
 124,470      Holystone Enterprise Co Ltd   438 
 6,340,633      Hon Hai Precision Industry Co, Ltd   17,047 
 39,699      Horiba Ltd   2,076 
 98,000      Hosiden Corp   886 
 1,014,181      HP, Inc   19,259 
 22,300      Huagong Tech Co Ltd   75 
 25,227   *,e  Huami Corp (ADR)   324 
 20,040      Hubei Kaile Science & Technology Co Ltd   35 
 2,251,510      Ibiden Co Ltd   76,725 
 9,100      Icom, Inc   238 
 104,756      IEI Integration Corp   156 
 157,887   *,e  II-VI, Inc   6,404 
 22,199      Iljin Materials Co Ltd   856 
 16,425   *,e  Immersion Corp   116 
 2,467,870      Inari Amertron BHD   1,364 
 1,875      Inficon Holding AG.   1,554 
 193,390   *,e  Infinera Corp   1,191 
 50,964   e  Ingenico   7,896 
 61,200      Innodisk Corp   338 
 4,617,419      InnoLux Display Corp   1,507 
 55,823   *,e  Inseego Corp   576 
 81,771   *  Insight Enterprises, Inc   4,627 
 71,040      Inspur Electronic Information Industry Co Ltd   319 
 93,412   *,e  Intellicheck, Inc   623 
 40,199      InterDigital, Inc   2,294 
 20,746   *,e  Intevac, Inc   114 
 1,196,935      Inventec Co Ltd   932 
 31,432   *  IPG Photonics Corp   5,342 
 20,900   e  Iriso Electronics Co Ltd   850 
 15,300      ITC Networks Corp   172 
 202,820      ITEQ Corp   868 
 71,561   *  Iteris, Inc   293 
 50,135   *  Itron, Inc   3,045 
 22,716      Ituran Location and Control Ltd   316 
 200,843      Jabil Inc   6,881 
 51,942      Japan Aviation Electronics Industry Ltd   719 
 668,094   *,e  Japan Display, Inc   346 
 59,202      Jenoptik AG.   1,587 
 388,022      Juniper Networks, Inc   8,342 
 17,800      Kaga Electronics Co Ltd   380 
 6,211      Kapsch TrafficCom AG.   90 
 756,800      KCE Electronics PCL   728 
 207,662      Keyence Corp   97,078 
 472,114   *  Keysight Technologies, Inc   46,635 
 74,372   *  Kimball Electronics, Inc   860 
 327,000      Kingboard Chemical Holdings Ltd   1,082 
 1,107,500      Kingboard Laminates Holdings Ltd   1,533 
 23,752   *,e  KMW Co Ltd   1,587 
163

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

           VALUE 
SHARES       COMPANY  (000) 
 253,846   *  Knowles Corp  $3,782 
 29,400      Koa Corp   318 
 536,900   e  Konica Minolta Holdings, Inc   1,523 
 22,809   *,e  KVH Industries, Inc   205 
 232,893      Kyocera Corp   13,335 
 16,011      L&F Co Ltd   564 
 24,138      Landis&Gyr Group AG.   1,314 
 51,366      Largan Precision Co Ltd   6,015 
 638,300   e,g  Legend Holdings Corp   778 
 512      LEM Holding S.A.   959 
 16,453,653      Lenovo Group Ltd   10,879 
 169,500      Lens Technology Co Ltd   808 
 58,544      Leyard Optoelectronic Co Ltd   67 
 6,823      LG Innotek Co Ltd   900 
 121,296   *  LG.Philips LCD Co Ltd   1,589 
 1,022,160      Lite-On Technology Corp   1,637 
 34,446      Littelfuse, Inc   6,109 
 191,371   e  Logitech International S.A.   14,824 
 69,995      Lotes Co Ltd   1,123 
 29,144      LPKF Laser & Electronics AG.   772 
 111,240   *  Lumentum Holdings, Inc   8,357 
 25,823   *,e  Luna Innovations, Inc   154 
 401,709      Luxshare Precision Industry Co Ltd   3,392 
 50,507      Macnica Fuji Electronics Holdings, Inc   926 
 9,700      Maruwa Co Ltd   900 
 50,600      Maxell Holdings Ltd   523 
 7,000      Maxscend Microelectronics Co Ltd   390 
 74,291      Mcj Co Ltd   680 
 11,291      Mcnex Co Ltd   349 
 21,100   e  Meiko Electronics Co   354 
 1,908,500   *,g  Meitu, Inc   356 
 5,165   *  Melco Holdings, Inc   117 
 498,076      Merry Electronics Co Ltd   2,560 
 54,389      Methode Electronics, Inc   1,550 
 85,038   e  Micronic Laser Systems AB   2,001 
 341,000      Micro-Star International Co Ltd   1,574 
 811,893      Mitac Holdings Corp   808 
 290,156      Motorola Solutions, Inc   45,499 
 43,341      MTS Systems Corp   828 
 782,022      Murata Manufacturing Co Ltd   50,853 
 216,000      Nan Ya Printed Circuit Board Corp   889 
 10,660   *  Napco Security Technologies, Inc   250 
 264,968      National Instruments Corp   9,459 
 25,300      NAURA Technology Group Co Ltd   597 
 101,030   *,e  NCR Corp   2,237 
 36,611      Neopost S.A.   496 
 166,923      NetApp, Inc   7,318 
 47,579   *  Netgear, Inc   1,466 
 107,596   *  Netscout Systems, Inc   2,349 
 94,412   *  Newmax Technology Co Ltd   133 
 52,750      Nichicon Corp   405 
 55,600      Ninestar Corp   234 
 21,000      Nippon Ceramic Co Ltd   525 
 194,176      Nippon Electric Glass Co Ltd   3,629 
164

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

           VALUE 
SHARES       COMPANY  (000) 
 46,256   e  Nippon Signal Co Ltd  $458 
 42,960      Nissha Printing Co Ltd   536 
 49,054   *  nLight, Inc   1,152 
 24,072      Nohmi Bosai Ltd   552 
 1      Nokia Corp (ADR)    0^
 5,402,206   *  Nokia Oyj (Turquoise)   21,143 
 46,524   *  Novanta, Inc   4,901 
 84,400      O-film Tech Co Ltd   180 
 93,136      Oki Electric Industry Co Ltd   1,005 
 281,099      Omron Corp   21,978 
 469,000      O-Net Communications Group   393 
 36,079      Optex Co Ltd   582 
 7,380      OptoElectronics Solutions Co Ltd   354 
 44,100      Osaki Electric Co Ltd   257 
 74,934   *  OSI Systems, Inc   5,816 
 351,224      Pan-International Industrial   212 
 12,182   *,e  PAR Technology Corp   493 
 34,400      Partron Co Ltd   298 
 692,256      PAX Global Technology Ltd   417 
 16,013      PC Connection, Inc   657 
 31,871   e  PC-Tel, Inc   180 
 984,817      Pegatron Technology Corp   2,187 
 43,814   e  Plantronics, Inc   519 
 30,294   *  Plexus Corp   2,140 
 41,047   *,e  Powerfleet, Inc   231 
 356,414      Primax Electronics Ltd   530 
 8,058,000      Prime View International Co Ltd   10,661 
 11,736,400      PT Erajaya Swasembada Tbk   1,225 
 359,879   *  Pure Storage, Inc   5,539 
 1,466,838      Quanta Computer, Inc   3,852 
 177,000      Quanta Storage, Inc   228 
 48,474   *,e  Quantum Corp   223 
 46,169   *  Radware Ltd   1,119 
 237,400      Redington India Ltd   381 
 40,573      Renishaw plc   2,934 
 24,566   *,e  Research Frontiers, Inc   66 
 95,623   *,e  Resonant, Inc   228 
 22,047      Restar Holdings Corp   456 
 139,990   *,e  Ribbon Communications, Inc   542 
 575,903   e  Ricoh Co Ltd   3,887 
 14,726      Riken Keiki Co Ltd   407 
 21,498      Riso Kagaku Corp   298 
 1,164,202   *  Ritek Corp   225 
 44,613   *,e  Rogers Corp   4,375 
 21,133      Ryosan Co Ltd   424 
 16,500   e  Ryoyo Electro Corp   458 
 50,682      S&T AG.   1,060 
 6,629      SAES Getters S.p.A.   187 
 365,458      Samsung Electro-Mechanics Co Ltd   43,310 
 6,240,169      Samsung Electronics Co Ltd   309,788 
 418,216      Samsung Electronics Co Ltd (Preference)   18,000 
 27,841      Samsung SDI Co Ltd   10,285 
 7,016      Samwha Capacitor Co Ltd   327 
 221,838   *  Sanmina Corp   6,001 
165

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

           VALUE 
SHARES       COMPANY  (000) 
 11,000      Sanshin Electronics Co Ltd  $213 
 38,003   *  Scansource, Inc   754 
 1,411      Seagate Technology, Inc   70 
 228,160   e  Seiko Epson Corp   2,624 
 9,690   *,g  Sensirion Holding AG.   507 
 11,864      Seojin System Co Ltd   461 
 212,419      Sercomm Corp   534 
 23,719      Sesa S.p.A   2,380 
 16,842      SFA Engineering Corp   548 
 137,000      Shengyi Technology Co Ltd   472 
 23,133      Shennan Circuits Co Ltd   400 
 80,900      Shenzhen Kaifa Technology Co Ltd   247 
 57,300      Shenzhen Sunway Communication Co Ltd   462 
 156,070      Shimadzu Corp   4,750 
 27,800   *,e  Shinko Shoji Co Ltd   242 
 39,783   *,e  Sierra Wireless, Inc   444 
 31,300      Siix Corp   369 
 677,907      Simplo Technology Co Ltd   7,039 
 490,423      Sinbon Electronics Co Ltd   3,053 
 167,880   e  Smart Metering Systems plc   1,410 
 859,350   e  Softwareone Holding AG.   23,948 
 132,748      Spectris plc   4,168 
 1,063,258      Spirent Communications plc   3,910 
 87,973      Sterlite Technologies Ltd   179 
 210,085   e  Strix Group plc   659 
 359,800      Sunny Optical Technology Group Co Ltd   5,589 
 60,894   *,e  Super Micro Computer, Inc   1,608 
 347,985      Supreme Electronics Co Ltd   355 
 86,600      Suzhou Dongshan Precision Manufacturing Co Ltd   340 
 102,250      Syncmold Enterprise Corp   298 
 84,476      Synnex Corp   11,832 
 672,413      Synnex Technology International Corp   964 
 16,100   *  Tachibana Eletech Co Ltd   289 
 226,000      Taiwan Union Technology Corp   880 
 130,040   e  Taiyo Yuden Co Ltd   4,096 
 78,500      Tamura Corp   400 
 93,223      TDK Corp   10,179 
 1,572,768      TE Connectivity Ltd   153,722 
 65,877   *  TELCON, Inc   437 
 1,378,132   e  Telefonaktiebolaget Lm Ericsson (ADR)   15,008 
 140,495      Test Research, Inc   278 
 68,000      Thinking Electronic Industrial Co Ltd   234 
 39,300      Tianjin 712 Communication & Broadcasting Co Ltd   260 
 83,600      Tianma Microelectronics Co Ltd   182 
 96,094   *  Tobii AB   567 
 186,625      Tong Hsing Electronic Industries Ltd   866 
 3,490,000   e  Tongda Group Holdings Ltd   189 
 110,456      Topcon Corp   1,015 
 30,285      Toshiba TEC Corp   1,270 
 1,536,000   *  TPK Holding Co Ltd   2,616 
 181,000      Transcend Information, Inc   394 
 227,872   *  Trimble Inc   11,097 
 1,147,574      Tripod Technology Corp   4,399 
 1,560,000   *,e  Truly International Holdings   179 
166

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

           VALUE 
SHARES       COMPANY  (000) 
 229,632   *  TTM Technologies, Inc  $2,620 
 496,800      Tunghsu Optoelectronic Technology Co Ltd   222 
 270,039      TXC Corp   677 
 12,414      Ubiquiti, Inc   2,069 
 35,400      Unigroup Guoxin Microelectronics Co Ltd   623 
 1,602,613      Unimicron Technology Corp   4,156 
 167,440      Unisplendour Corp Ltd   628 
 502,500      Unitech Printed Circuit Board Corp   370 
 85,900      Universal Scientific Industrial Shanghai Co Ltd   325 
 9,505   e  V Technology Co Ltd   402 
 257,000      Venture Corp Ltd   3,649 
 83,631   *  Viasat, Inc   2,876 
 480,716   *  Viavi Solutions, Inc   5,639 
 202,900      Vishay Intertechnology, Inc   3,159 
 90,637   *  Vishay Precision Group, Inc   2,295 
 2,169,714      VS Industry BHD   1,193 
 1,473,042      VST Holdings Ltd   979 
 200,485      Vtech Holdings Ltd   1,251 
 159,400      Wacom Co Ltd   1,053 
 154,136      Wah Lee Industrial Corp   299 
 154,000      Walsin Technology Corp   830 
 430,000      Wasion Group Holdings Ltd   121 
 387,402      Western Digital Corp   14,160 
 53,900      Westone Information Industry, Inc   147 
 48,700      Wingtech Technology Co Ltd   840 
 190,500   *,†,b  Wintek Corp    0 
 16,820      WiSoL Co Ltd   228 
 1,429,013      Wistron Corp   1,482 
 271,372      Wistron NeWeb Corp   721 
 71,000      Wiwynn Corp   1,614 
 728,593      WPG Holdings Co Ltd   982 
 7,815   *,e  Wrap Technologies Inc   53 
 730,783      WT Microelectronics Co Ltd   955 
 87,090      Wuhan Guide Infrared Co Ltd   443 
 153,700      Wuhu Token Science Co Ltd   228 
 79,700      WUS Printed Circuit Kunshan Co Ltd   221 
 48,700      Wuxi Lead Intelligent Equipment Co Ltd   349 
 122,912      Xerox Holdings Corp   2,307 
 5,343,400   *,g  Xiaomi Corp   14,465 
 15,750   *,†  Ya Hsin Industrial Co Ltd    0
 2,293,994      Yageo Corp   28,169 
 139,426      Yamatake Corp   5,224 
 168,798   e  Yaskawa Electric Corp   6,604 
 35,850      Yealink Network Technology Corp Ltd   319 
 160,609      Yokogawa Electric Corp   2,551 
 16,384   e  Yokowo Co Ltd   430 
 75,859   *  Zebra Technologies Corp (Class A)   19,151 
 198,400      Zhejiang Dahua Technology Co Ltd   601 
 277,485      Zhen Ding Technology Holding Ltd   1,218 
 237,800      ZTE Corp   1,162 
 378,018      ZTE Corp (Class H)   909 
        TOTAL TECHNOLOGY HARDWARE & EQUIPMENT   6,572,085 
167

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

           VALUE 
SHARES       COMPANY  (000) 
TELECOMMUNICATION SERVICES - 1.9%     
 604,389      Advanced Info Service PCL (Foreign)  $3,274 
 20,776      AFK Sistema   111 
 168,893      AFK Sistema (London)   905 
 86,934      Alaska Communications Systems Group, Inc   174 
 32,114,936      America Movil S.A. de C.V. (Series L)   20,159 
 60,672   *  Anterix, Inc   1,985 
 28,300      ARTERIA Networks Corp   492 
 1,775,929   *  Asia Pacific Telecom Co Ltd   586 
 12,961,973      AT&T, Inc   369,546 
 17,757      ATN International, Inc   890 
 838,720   *,e  Axtel SAB de C.V.   267 
 52,203   *  Bandwidth Inc   9,113 
 143,140      BCE, Inc   5,936 
 2,319,094   *  Bezeq Israeli Telecommunication Corp Ltd   2,687 
 2,506,810      Bharti Airtel Ltd   14,333 
 171,746      Bharti Infratel Ltd   409 
 123,243   *  Boingo Wireless, Inc   1,256 
 8,289,659      BT Group plc   10,500 
 92,981   *  Cellcom Israel Ltd   379 
 543,027   g  Cellnex Telecom SAU   32,963 
 1,561,104      CenturyLink, Inc   15,752 
 23,000      Chief Telecom, Inc   275 
 3,137,249      China Mobile Hong Kong Ltd   20,139 
 6,979,057      China Telecom Corp Ltd   2,097 
 51,885,720   g  China Tower Corp Ltd   9,027 
 15,486,081      China Unicom Ltd   10,165 
 1,842,175      China United Network Communications Ltd   1,317 
 492,322      Chorus Ltd   2,821 
 1,961,188      Chunghwa Telecom Co Ltd   7,248 
 72,085   *  Cincinnati Bell, Inc   1,081 
 4,835,641      Citic 1616 Holdings Ltd   1,547 
 174,855      Cogent Communications Group, Inc   10,500 
 76,432   *  Consolidated Communications Holdings, Inc   435 
 3,760,758      Deutsche Telekom AG.   62,617 
 1,502,939      Digi.Com BHD   1,461 
 132,635      Elisa Oyj (Series A)   7,798 
 1,679,701      Emirates Telecommunications Group Co PJSC   7,634 
 120,767      Empresa Nacional de Telecomunicaciones S.A.   752 
 350,301   *  Etihad Etisalat Co   2,671 
 137,807   g  Euskaltel S.A.   1,455 
 819,336      Far EasTone Telecommunications Co Ltd   1,730 
 143,297      Freenet AG.   2,895 
 182,375   *  GCI Liberty, Inc   14,947 
 16,546      Globe Telecom, Inc   710 
 38,906   *,e  Gogo, Inc   359 
 101,814   *  GoodRx Holdings, Inc   5,661 
 122,350      Hellenic Telecommunications Organization S.A.   1,762 
 832,620      HKBN Ltd   1,589 
 3,527,079      HKT Trust and HKT Ltd   4,682 
 1,665,607      Hutchison Telecommunications Hong Kong Holdings Ltd   257 
 627,043   *  IAC   75,107 
 8,241,973   *  Idea Cellular Ltd   1,070 
 26,218   *,e  IDT Corp (Class B)   173 
168

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

           VALUE 
SHARES       COMPANY  (000) 
 13,792      Iliad S.A.  $2,530 
 225,257   g  Infrastrutture Wireless Italiane S.p.A   2,485 
 28,062      Internet Initiative Japan, Inc   1,263 
 2,121,193      Intouch Holdings PCL (Class F)   3,464 
 132,433   *  Iridium Communications, Inc   3,388 
 3,600,885      Jasmine International PCL   324 
 31,327      Jereissati Participacoes S.A.   117 
 1,764,590      KDDI Corp   44,382 
 4,234,966      Koninklijke KPN NV   9,937 
 222,725   *,†,e  Let’s GOWEX S.A.   3 
 103,409      LG Telecom Ltd   1,016 
 231,307   *  Liberty Latin America Ltd (Class A)   1,908 
 514,813   *,e  Liberty Latin America Ltd (Class C)   4,191 
 531,402      Magyar Telekom   621 
 1,160,990      Maxis BHD   1,421 
 113,225      Millicom International Cellular S.A.   3,421 
 274,354   *  Mobile Telecommunications Co Saudi Arabia   992 
 239,414      Mobile TeleSystems (ADR)   2,090 
 79,465      Mobistar S.A.   1,281 
 1,621,607   e  MTN Group Ltd   5,441 
 3,433,166      NetLink NBN Trust   2,458 
 1,781,326      Nippon Telegraph & Telephone Corp   36,369 
 1,468,716      NTT DoCoMo, Inc   53,970 
 74,842   *  Ooma, Inc   977 
 388,366      Ooredoo QSC   715 
 2,053,246   *  Orange S. A.   21,386 
 183,050   *  ORBCOMM, Inc   622 
 146,778   *  Partner Communications   575 
 3,975,327      PCCW Ltd   2,378 
 407,976   g  PLAY Communications S.A.   4,077 
 41,277      PLDT, Inc   1,134 
 142,288      Proximus plc   2,596 
 1,742,600      PT Excelcomindo Pratama   239 
 1,736,400   *  PT Indosat Tbk   233 
 942,629      PT Link Net Tbk   112 
 25,312,524      PT Telekomunikasi Indonesia Persero Tbk   4,371 
 329,968      Rogers Communications, Inc (Class B)   13,089 
 33,013      Rostelecom (ADR)   247 
 136,263      Rostelecom (ADR) (OTC US)   1,026 
 574,511      Saudi Telecom Co   15,406 
 80,054      Shenandoah Telecom Co   3,557 
 8,308,905      Singapore Telecommunications Ltd   12,909 
 210,200      Singapore Telecommunications Ltd   329 
 20,349      SK Telecom Co Ltd   4,137 
 390,141      SmarTone Telecommunications Holding Ltd   208 
 2,046,940      Softbank Corp   22,873 
 1,593,616      Softbank Group Corp   98,604 
 50,704      Spok Holdings, Inc   482 
 694,514      StarHub Ltd   612 
 39,634   e,g  Sunrise Communications Group AG.   4,689 
 24,169   e  Swisscom AG.   12,804 
 861,842      Taiwan Mobile Co Ltd   2,881 
 781,659   e  TalkTalk Telecom Group plc   807 
 63,585      Tata Communications Ltd   733 
169

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

           VALUE 
SHARES       COMPANY  (000) 
 465,752   e  Tele2 AB (B Shares)  $6,567 
 66,876      Telecom Argentina S.A. (ADR) (Class B)   437 
 1,710,514      Telecom Corp of New Zealand Ltd   5,337 
 708,133      Telecom Egypt   526 
 5,572,358      Telecom Italia RSP   2,250 
 7,747,915   e  Telecom Italia S.p.A.   3,105 
 432,499      Telefonica Brasil S.A.   3,344 
 978,206      Telefonica Deutschland Holding AG.   2,500 
 5,105,279      Telefonica S.A.   17,488 
 252,864   e  Telekom Austria AG.   1,788 
 559,402      Telekom Malaysia BHD   557 
 304,235   *  Telekomunikacja Polska S.A.   538 
 672,722      Telenor ASA   11,294 
 144,700      Telephone & Data Systems, Inc   2,668 
 1,279,169   *,e  Telesites SAB de C.V.   1,151 
 2,900,718      TeliaSonera AB   11,867 
 279,320      Telkom S.A. Ltd   437 
 4,325,124      Telstra Corp Ltd   8,660 
 389,192      TELUS Corp   6,848 
 790,984      Tim Participacoes S.A.   1,839 
 316,827      Time dotCom BHD   916 
 1,493,186      TM International BHD   1,063 
 2,857,464   *  T-Mobile US, Inc   326,780 
 332,400      Total Access Communication PCL (Foreign)   340 
 9,679,900      Tower Bersama Infrastructure   872 
 343,706   *  TPG Telecom Ltd   1,814 
 5,509,270      True Corp PCL (Foreign)   542 
 545,730      Turkcell Iletisim Hizmet AS   1,064 
 101,044      United Internet AG.   3,864 
 19,307   *  US Cellular Corp   570 
 68,800   *,e  V-Cube, Inc   1,192 
 7,354,855      Verizon Communications, Inc   437,540 
 926,142   *,e  Vision, Inc   7,223 
 628,187   *  Vocus Communications Ltd   1,614 
 620,015      Vodacom Group Pty Ltd   4,547 
 30,639,609      Vodafone Group plc   40,611 
 1,603,560      Vodafone Qatar   560 
 371,590   *  Vonage Holdings Corp   3,801 
        TOTAL TELECOMMUNICATION SERVICES   2,095,693 
              
TRANSPORTATION - 2.0%     
 52,528   *,†,e  Abertis Infraestructuras S.A. (Continuous)   1,131 
 22,896      Aegean Airlines S.A.   83 
 61,795   g  Aena S.A.   8,604 
 117,429   g  Aeroflot PJSC (GDR)   573 
 27,738      Aeroports de Paris   2,752 
 2,160,716      Air Arabia PJSC   660 
 554,868   *  Air Canada   6,538 
 141,600      Air China Ltd   148 
 1,035,325      Air China Ltd (H shares)   682 
 217,209   *,e  Air France-KLM   748 
 636,911   e  Air New Zealand Ltd   581 
 71,267   *  Air Transport Services Group, Inc   1,786 
 1,283,900   *  AirAsia BHD   208 
170

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

           VALUE 
SHARES       COMPANY  (000) 
 6,607,500      Airports of Thailand PCL (ADR)  $11,839 
 2,083,400      Airports of Thailand PCL (Foreign)   3,733 
 290,701      Alaska Air Group, Inc   10,648 
 113,963   e,g  ALD S.A.   1,052 
 126,333   e  All Nippon Airways Co Ltd   2,922 
 19,990      Allegiant Travel Co   2,395 
 13,251      Amerco, Inc   4,717 
 661,872   e  American Airlines Group, Inc   8,134 
 380,000      Anhui Expressway Co   189 
 5,945      AP Moller - Maersk AS (Class A)   8,702 
 6,489      AP Moller - Maersk AS (Class B)   10,258 
 43,891      ArcBest Corp   1,363 
 1,630,200   *  Asia Aviation PCL (ADR)   93 
 519,700   *  Asia Aviation PCL (Foreign)   30 
 113,630   *  Asiana Airlines   378 
 40,903   *  Atlas Air Worldwide Holdings, Inc   2,491 
 975,356      Atlas Arteria Ltd   4,284 
 98,759   e  Atlas Corp   883 
 1,165,299      Auckland International Airport Ltd   5,656 
 69,540      Autostrada Torino-Milano S.p.A.   1,455 
 461,855      Autostrade S.p.A.   7,233 
 48,053   *  Avis Budget Group, Inc   1,265 
 255,575   *  Azul S.A.   1,110 
 540,200      Bangkok Airways Co Ltd   91 
 167,700      Bangkok Aviation Fuel Services PCL   109 
 6,993,353      Bangkok Expressway & Metro PCL   1,898 
 1,137,297      Beijing Capital International Airport Co Ltd   688 
 629,000      Beijing-Shanghai High Speed Railway Co Ltd   542 
 210,100   *,e  BEST, Inc (ADR)   630 
 3,964      Blue Dart Express Ltd   172 
 818,992      Bollore   3,051 
 113,464      bpost S.A.   994 
 7,173,057      BTS Group Holdings PCL   2,151 
 752,681      Canadian National Railway Co   80,160 
 128,008      Canadian Pacific Railway Ltd (Toronto)   38,939 
 624,000   *,e  CAR, Inc   201 
 106,960   e  Cathay Pacific Airways Ltd   74 
 184,340      Cebu Air, Inc   144 
 170,045      Central Japan Railway Co   24,374 
 192,688      CH Robinson Worldwide, Inc   19,691 
 2,146,000      China Airlines   617 
 1,283,000   *  China COSCO Holdings Co Ltd   633 
 319,900      China Eastern Airlines Corp Ltd   233 
 1,082,000   e  China Eastern Airlines Corp Ltd (H Shares)   465 
 821,081   e  China Merchants Holdings International Co Ltd   843 
 978,000   e  China Southern Airlines Co Ltd   531 
 256,100      China Southern Airlines Co Ltd (Class A)   219 
 86,480   e  Chorus Aviation, Inc   144 
 1,127,778      Cia de Concessoes Rodoviarias   2,544 
 115,174      Cia de Distribucion Integral Logista Holdings SAU   1,966 
 614,087      Cia de Locacao das Americas   2,597 
 2,450,000      ComfortDelgro Corp Ltd   2,546 
 34,599,001   *  Compania SudAmericana de Vapores S.A.   928 
 121,926      Container Corp Of India Ltd   608 
171

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

           VALUE 
SHARES       COMPANY  (000) 
 641,475   *  Controladora Vuela Cia de Aviacion SAB de C.V.  $465 
 40,922      Copa Holdings S.A. (Class A)   2,060 
 31,367   *,e  Corp America Airports S.A.   70 
 127,941   *  Cosan Logistica S.A.   403 
 1,299,600   *  Cosco Corp Singapore Ltd   178 
 517,120      Cosco International Holdings Ltd   146 
 992,195      COSCO Pacific Ltd   570 
 230,500      COSCO SHIPPING Development Co Ltd   71 
 476,300   *  COSCO SHIPPING Holdings Co Ltd   402 
 110,863   e  Costamare, Inc   673 
 57,854   *  Covenant Transportation Group, Inc   1,012 
 1,668,107      CSX Corp   129,562 
 135,212      CTT-Correios de Portugal S.A.   400 
 50,820      D/S Norden   826 
 492,600      Daqin Railway Co Ltd   462 
 130,465      Dart Group plc   1,130 
 140,770   *  Daseke, Inc   756 
 1,032,089      Delta Air Lines, Inc   31,561 
 278,521   e  Deutsche Lufthansa AG.   2,412 
 1,075,855      Deutsche Post AG.   48,818 
 39,608      Dfds A.S.   1,329 
 558,628      DSV AS   90,611 
 12,829   *,e  Eagle Bulk Shipping, Inc   210 
 364,727      East Japan Railway Co   22,430 
 182,708      easyJet plc   1,177 
 104,122   *,e  Echo Global Logistics, Inc   2,683 
 175,935      EcoRodovias Infraestrutura e Logistica S.A.   371 
 304,887   g  Enav S.p.A   1,158 
 120,077   e,g  Europcar Groupe S.A.   103 
 1,016,271      Eva Airways Corp   376 
 429,000      Evergreen International Storage & Transport Corp   202 
 1,184,563   *  Evergreen Marine Corp Tawain Ltd   653 
 39,790      Exchange Income Corp   908 
 243,508      Expeditors International of Washington, Inc   22,042 
 345,803      FedEx Corp   86,976 
 613,736   e  Finnair Oyj   277 
 1,369,179   *  Firstgroup plc   669 
 22,230      Flughafen Zuerich AG.   3,050 
 105,256      Forward Air Corp   6,040 
 38,778   e  Fraport AG. Frankfurt Airport Services Worldwide   1,527 
 31,460      Fukuyama Transporting Co Ltd   1,533 
 45,666   e  Genco Shipping & Trading Ltd   315 
 410,445      Getlink S.E.   5,560 
 18,466      GLOVIS Co Ltd   2,271 
 658,528   *  GMR Infrastructure Ltd   207 
 86,881      Go-Ahead Group plc   646 
 393,079   *  Gol Linhas Aereas Inteligentes S.A.   1,195 
 119,950      Golden Ocean Group Ltd   455 
 332,416   e  Grupo Aeroportuario del Centro Norte Sab de C.V.   1,527 
 354,545   e  Grupo Aeroportuario del Pacifico S.A. de C.V. (B Shares)   2,846 
 196,700      Grupo Aeroportuario del Sureste S.A. de C.V. (Class B)   2,284 
 54,100      Guangzhou Baiyun International Airport Co Ltd   108 
172

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

           VALUE 
SHARES       COMPANY  (000) 
 184,884      Gujarat Pipavav Port Ltd  $207 
 294,276      Gulf Warehousing Co   409 
 1,101,900   *  Hainan Airlines Holding Co Ltd   284 
 131,000   *  Hainan Meilan International Airport Co Ltd   745 
 17,000      Hamakyorex Co Ltd   517 
 27,662      Hamburger Hafen und Logistik AG.   483 
 6,287      Hanjin Transportation Co Ltd   231 
 194,118      Hankyu Hanshin Holdings, Inc   6,241 
 70,851      Hawaiian Holdings, Inc   913 
 113,854      Heartland Express, Inc   2,118 
 51,425   e  Hitachi Transport System Ltd   1,629 
 6,827      Hopewell Highway Infrastructure Ltd   2 
 177,756   *  Hub Group, Inc (Class A)   8,922 
 5,591,751      Hutchison Port Holdings Trust   923 
 227,806   *  Hyundai Merchant Marine Co Ltd   1,399 
 2,956   *  ID Logistics Group   639 
 87,338      Iino Kaiun Kaisha Ltd   311 
 156,074      Imperial Holdings Ltd   352 
 42,712   g  InterGlobe Aviation Ltd   721 
 958,027      International Container Term Services, Inc   2,186 
 117,813      Japan Airlines Co Ltd   2,197 
 100,450   e  Japan Airport Terminal Co Ltd   4,450 
 14,544      JB Hunt Transport Services, Inc   1,838 
 12,251      Jeju Air Co Ltd   138 
 362,896   *  JetBlue Airways Corp   4,112 
 694,034      Jiangsu Express   701 
 10,391      Jin Air Co Ltd   82 
 2,700      Juneyao Airlines Co Ltd   4 
 285,073      Kamigumi Co Ltd   5,617 
 685,527      Kansas City Southern   123,964 
 49,288   *,e  Kawasaki Kisen Kaisha Ltd   552 
 170,630   e  Keihin Electric Express Railway Co Ltd   2,626 
 85,770      Keio Corp   5,310 
 102,689      Keisei Electric Railway Co Ltd   2,900 
 706,009   *  Kerry Logistics Network Ltd   1,279 
 156,076      Kintetsu Corp   6,661 
 300,700      Kintetsu World Express, Inc   6,409 
 84,471   *  Kirby Corp   3,055 
 345,572      Knight-Swift Transportation Holdings, Inc   14,065 
 25,868      Konoike Transport Co Ltd   285 
 4,294   *  Korea Express Co Ltd   651 
 11,405   *  Korea Line Corp   164 
 34,864      Korean Air Lines Co Ltd   560 
 50,322   e  Kuehne & Nagel International AG.   9,771 
 121,116      Kyushu Railway Co   2,590 
 37,085      Landstar System, Inc   4,654 
 1,234,316      Localiza Rent A Car   12,455 
 532,573   *  Lyft, Inc (Class A)   14,672 
 105,079      Macquarie Infrastructure Co LLC   2,826 
 76,080      MacroAsia Corp   7 
 606,818   g  Mahindra Logistics Ltd   2,852 
 550,220      Malaysia Airports Holdings BHD   632 
 231,821      Marten Transport Ltd   3,783 
 22,625   e  Maruwa Unyu Kikan Co Ltd   898 
173

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

           VALUE 
SHARES       COMPANY  (000) 
 26,230      Maruzen Showa Unyu Co Ltd  $898 
 70,084      Matson, Inc   2,810 
 78,385   *  Mesa Air Group, Inc   231 
 1,408,056      MISC BHD   2,548 
 57,928   e  Mitsubishi Logistics Corp   1,653 
 119,200      Mitsui OSK Lines Ltd   2,353 
 47,114      Mitsui-Soko Co Ltd   825 
 669,800      MMC Corp BHD   119 
 125,752      Movida Participacoes S.A.   364 
 484,783      MTR Corp   2,406 
 109,343      Mullen Group Ltd   740 
 247,264      Mundra Port and Special Economic Zone Ltd   1,151 
 130,035      Nagoya Railroad Co Ltd   3,565 
 112,327      Nankai Electric Railway Co Ltd   2,493 
 102,554      Napier Port Holdings Ltd   241 
 621,139      National Express Group plc   1,221 
 287,000      Ningbo Zhoushan Port Co Ltd   158 
 64,982      Nippon Express Co Ltd   3,792 
 103,449      Nippon Konpo Unyu Soko Co Ltd   2,243 
 111,490      Nippon Yusen Kabushiki Kaisha   1,934 
 65,600   e  Nishi-Nippon Railroad Co Ltd   1,900 
 14,970      Nissin Corp   228 
 212,515   g  Nobina AB   1,397 
 33,738      Norfolk Southern Corp   7,220 
 260,366      Northgate plc   620 
 693,418   *,e  Norwegian Air Shuttle AS   70 
 247,348      Odakyu Electric Railway Co Ltd   6,218 
 38,188   e  Oesterreichische Post AG.   1,285 
 141,278      Old Dominion Freight Line   25,560 
 5,322,290   e  Pacific Basin Shipping Ltd   820 
 1,625   *,e  PAM Transportation Services, Inc   61 
 10,298   *  Pangaea Logistics Solutions Ltd   27 
 13,981      Park-Ohio Holdings Corp   225 
 33,994   *  Pegasus Hava Tasimaciligi AS.   203 
 6,430      Piraeus Port Authority   126 
 199,737   *  Promotora y Operadora de Infraestructura SAB de C.V.   1,413 
 1,983,000      PT Jasa Marga Tbk   484 
 5,648,600   *,†  PT Trada Maritime Tbk   19 
 958,175      Qantas Airways Ltd   2,810 
 518,245      Qatar Navigation QSC   855 
 2,956,155      QR National Ltd   9,094 
 1,983,954      Qube Logistics Holdings Ltd   3,611 
 117,047   *,e  Radiant Logistics, Inc   602 
 1,004,627      Royal Mail plc   3,081 
 1,135,870   *  Rumo S.A.   3,855 
 7,392      Ryder System, Inc   312 
 101,239   *,e  Safe Bulkers, Inc   104 
 81,297   e  Sagami Railway Co Ltd   2,192 
 41,267   *  Saia, Inc   5,205 
 96   *,†  SAir Group   0 
 22,170      Sakai Moving Service Co Ltd   1,086 
 61,850      Sankyu, Inc   2,443 
 441,404      Santos Brasil Participacoes S.A.   317 
 219,218   *,e  SAS AB   94 
174

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

           VALUE 
SHARES       COMPANY  (000) 
 86,563   *  Saudi Ground Services Co  $705 
 60,156   *  Saudi Public Transport Co   291 
 85,504      SBS Holdings, Inc   1,786 
 83,905      Schneider National, Inc   2,075 
 14,256   e  Scorpio Bulkers, Inc   202 
 195,186      Seibu Holdings, Inc   2,102 
 156,806   *  Seino Holdings Corp   2,275 
 120,396      Senko Co Ltd   1,123 
 89,000      SF Holding Co Ltd   1,068 
 170,545      SG Holdings Co Ltd   8,874 
 101,000      Shandong Airlines Co Ltd   83 
 330,900      Shanghai International Airport Co Ltd   3,360 
 354,200      Shanghai International Port Group Co Ltd   218 
 129,044      Shanghai Jinjiang International Investment Holdings Co   95 
 48,277      Shenzhen Airport Co Ltd   61 
 896,000      Shenzhen Expressway Co Ltd   783 
 1,087,292      Shenzhen International Holdings Ltd   1,735 
 9,400      Shinwa Kaiun Kaisha Ltd   129 
 320,200      SIA Engineering Co Ltd   394 
 920,580      Signature Aviation plc   2,836 
 57,097   *  SIMPAR S.A.   258 
 250,720      Sincere Navigation   132 
 1,257,290      Singapore Airlines Ltd   3,217 
 778,100   e  Singapore Airport Terminal Services Ltd   1,625 
 1,601,019      Singapore Post Ltd   760 
 135,717      Sinotrans Ltd (Class A)   74 
 2,485,848      SITC International Co Ltd   3,444 
 15,371      Sixt AG.   1,385 
 36,408      Sixt AG. (Preference)   1,952 
 77,518      Skywest, Inc   2,315 
 882,392      Southwest Airlines Co   33,090 
 109,801   *  SpiceJet Ltd   72 
 146,705   *,e  Spirit Airlines, Inc   2,362 
 23,100      Spring Airlines Co Ltd   153 
 464,363      Stagecoach Group plc   232 
 104,000      STO Express Co Ltd   231 
 29,475      Stolt-Nielsen S.A.   259 
 116,190   *  STX Pan Ocean Co Ltd   338 
 63,083   e  Sumitomo Warehouse Co Ltd   800 
 1,092,833      Sydney Airport   4,641 
 1,864,000      Taiwan High Speed Rail Corp   2,045 
 180,252      TAV Havalimanlari Holding AS   357 
 33,499      Tegma Gestao Logistica   124 
 219,602      TFI International, Inc   9,183 
 678,500   *  Thai Airways International PCL (Foreign)   70 
 1,756,000      Tianjin Port Development Holdings Ltd   114 
 1,202,627      TNT NV   3,651 
 152,409      Tobu Railway Co Ltd   4,710 
 425,489      Tokyu Corp   5,522 
 6,015      Tonami Holdings Co Ltd   373 
 12,407      Trancom Co Ltd   896 
 2,581,033      Transurban Group   26,355 
 268,645   *  Turk Hava Yollari   362 
175

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

           VALUE 
SHARES       COMPANY  (000) 
 3,202,160   *  Uber Technologies, Inc  $116,815 
 385,000      U-Ming Marine Transport Corp   400 
 2,415,204      Union Pacific Corp   475,481 
 373,324   *  United Airlines Holdings Inc   12,973 
 197,576      United International Transportation Co   1,792 
 1,697,408      United Parcel Service, Inc (Class B)   282,839 
 36,775      Universal Logistics Holdings Inc   767 
 34,617   *,e  US Xpress Enterprises, Inc   286 
 60,603   *,†  Virgin Australia Holdings Ltd    0^
 67,336   *,†  Virgin Australia Int Holdings    0 
 486,000      Wan Hai Lines Ltd   359 
 176,420      Werner Enterprises, Inc   7,408 
 142,616      West Japan Railway Co   7,046 
 750,200      Westports Holdings BHD   702 
 96,903   e  Westshore Terminals Investment Corp   1,107 
 120,907      Wilh. Wilhelmsen ASA   185 
 349,042      Wisdom Marine Lines Co Ltd   264 
 135,892   *  XPO Logistics, Inc   11,505 
 443,066      Yamato Transport Co Ltd   11,671 
 1,086,523   *  Yang Ming Marine Transport   367 
 1,036,000      Yuexiu Transport Infrastructure Ltd   604 
 83,980      Yunda Holding Co Ltd   231 
 842,794      Zhejiang Expressway Co Ltd   611 
 204,204      ZTO Express Cayman, Inc (ADR)   6,110 
        TOTAL TRANSPORTATION   2,255,917 
              
UTILITIES - 2.7%     
 1,743,974      A2A S.p.A.   2,533 
 1,654,210      Aboitiz Power Corp   873 
 24,432   e  Acciona S.A.   2,651 
 136,832      ACEA S.p.A.   2,878 
 499,843      Actelios S.p.A.   3,154 
 687,673   *  Adani Power Ltd   345 
 550,834      AES Corp   9,976 
 2,682,687      AES Gener S.A.   413 
 146,676   *  AES Tiete Energia SA   383 
 348,364   *,†  AET&D Holdings No 1 Ptd Ltd   0 
 641,334      AGL Energy Ltd   6,262 
 2,645,805      Aguas Andinas S.A.   741 
 575,244   e  Algonquin Power & Utilities Corp   8,355 
 79,547      Allete, Inc   4,116 
 58,130      Alliant Energy Corp   3,002 
 519,843   e  AltaGas Ltd   6,278 
 133,897      Alupar Investimento S.A.   552 
 33,829      Ameren Corp   2,675 
 2,583,660      American Electric Power Co, Inc   211,163 
 30,458      American States Water Co   2,283 
 25,424      American Water Works Co, Inc   3,683 
 1,218,477      APA Group   9,058 
 13,249   e  Artesian Resources Corp   457 
 105,315      Ascopiave S.p.A.   392 
 71,007      Atco Ltd   2,053 
 38,861      Athens Water Supply & Sewage Co S.A.   304 
 176,679   *,e  Atlantic Power Corp   346 
176

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

           VALUE 
SHARES       COMPANY  (000) 
 15,955      Atmos Energy Corp  $1,525 
 1,741,828      AusNet Services   2,351 
 4,144      Avangrid, Inc   209 
 105,749      Avista Corp   3,608 
 75,500      Aygaz AS   111 
 799,433      B Grimm Power PCL   1,070 
 533,100      BCPG PCL   201 
 265,899      Beijing Enterprises Holdings Ltd   802 
 2,598,191      Beijing Enterprises Water Group Ltd   1,013 
 1,258,000      Beijing Jingneng Clean Energy Co Ltd   321 
 23,625      BKW S.A.   2,516 
 155,967      Black Hills Corp   8,343 
 5,144,000   *  Blue Sky Power Holdings Ltd   81 
 84,419      Boralex, Inc   2,440 
 38,822   e  Brookfield Infrastructure Corp   2,150 
 233,177      Brookfield Renewable Corp   13,664 
 18,281   *,e  Cadiz, Inc   182 
 48,239      California Water Service Group   2,096 
 120,901      Canadian Utilities Ltd   2,884 
 533,000      Canvest Environment Protection Group Co Ltd   230 
 114,937   e  Capital Power Corp   2,537 
 97,816      Capital Stage AG.   1,915 
 18,479,945      Centerpoint Energy, Inc   357,587 
 303,037      Centrais Eletricas Brasileiras S.A.   1,636 
 246,579      Centrais Eletricas Brasileiras S.A. (Preference)   1,369 
 89,367   e  Central Puerto S.A. (ADR)   200 
 6,462,110      Centrica plc   3,344 
 54,569      CESC Ltd   454 
 84,353      CEZ AS   1,595 
 1,092,000      CGN New Energy Holdings Co Ltd   139 
 5,578,000   g  CGN Power Co Ltd   1,149 
 39,459      Chesapeake Utilities Corp   3,326 
 1,935,631      China Datang Corp Renewable Power Co Ltd   266 
 552,000   e,g  China Everbright Greentech Ltd   222 
 733,213   e  China Everbright Water Ltd   122 
 1,304,808      China Gas Holdings Ltd   3,734 
 1,796,127      China Longyuan Power Group Corp   1,129 
 273,700      China National Nuclear Power Co Ltd   177 
 3,248,000      China Power International Development Ltd   601 
 480,780      China Resources Gas Group Ltd   2,159 
 1,011,303      China Resources Power Holdings Co   1,122 
 280,500   e  China Tian Lun Gas Holdings Ltd   215 
 764,254   e  China Water Affairs Group Ltd   602 
 660,500      China Yangtze Power Co Ltd   1,861 
 623,640      Chubu Electric Power Co, Inc   7,586 
 216,012   e  Chugoku Electric Power Co, Inc   2,701 
 316,694      Cia de Saneamento Basico do Estado de Sao Paulo   2,639 
 57,800      Cia de Saneamento de Minas Gerais-COPASA   481 
 178,049      Cia de Saneamento do Parana   807 
 871,459      Cia de Saneamento do Parana (Preference)   790 
 915,319      Cia Energetica de Minas Gerais   1,646 
 955,521      Cia Energetica de Sao Paulo (Class B)   4,807 
 14,056      Cia Energetica do Ceara   150 
 92,000      Cia Paranaense de Energia   1,016 
177

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

           VALUE 
SHARES       COMPANY  (000) 
 681,000      CK Infrastructure Holdings Ltd  $3,196 
 2,255,280      CK Power PCL   415 
 336,301      Clearway Energy, Inc (Class A)   8,307 
 177,926      Clearway Energy, Inc (Class C)   4,797 
 1,722,363      CLP Holdings Ltd   16,082 
 41,611      CMS Energy Corp   2,555 
 7,693,486      Colbun S.A.   1,244 
 5,100,000      Concord New Energy Group Ltd   231 
 44,966      Consolidated Edison, Inc   3,498 
 20,738   e  Consolidated Water Co, Inc   216 
 800,977      Contact Energy Ltd   3,544 
 230,023      CPFL Energia S.A.   1,129 
 1,894,338      Dominion Energy, Inc   149,520 
 445,787      Drax Group plc   1,530 
 243,823      DTE Energy Co   28,049 
 1,126,527      Duke Energy Corp   99,765 
 2,051,941      E.ON AG.   22,617 
 567,500      Eastern Water Resources Development and Management PCL   168 
 502,853      Edison International   25,565 
 281,045      EDP - Energias do Brasil S.A.   871 
 94,659      Electric Power Development Co   1,460 
 601,049      Electricite de France   6,349 
 273,500      Electricity Generating PCL   1,622 
 28,899   e  Elia System Operator S.A.   2,889 
 240,275      Emera, Inc   9,870 
 18,070   *,e  Empresa Distribuidora Y Comercializadora Norte (ADR)   56 
 486,593      Empresa Electrica del Norte Grande S.A.   605 
 33,080      Enagas   763 
 647,592      Endesa S.A.   17,322 
 202,498   *  Enea S.A.   299 
 11,523,524      Enel S.p.A.   99,977 
 75,454   *  Energa S.A.   162 
 5,188,874      Energias de Portugal S.A.   25,513 
 163,600      Energisa S.A.   1,198 
 201,696   *  Energix-Renewable Energies Ltd   802 
 1,439,771      Energy Absolute PCL (Foreign)   1,793 
 223,771   g  Enerjisa Enerji AS.   258 
 26,275,962      Enersis Chile S.A.   1,843 
 33,398,264      Enersis S.A.   4,341 
 169,636   *  Eneva S.A.   1,453 
 189,351      Engie Brasil Energia S.A.   1,360 
 826,905   *  Enlight Renewable Energy Ltd   1,473 
 404,328      ENN Energy Holdings Ltd   4,437 
 1,966,211      Entergy Corp   193,731 
 833,922      Equatorial Energia S.A.   3,145 
 22,843   e  eRex Co Ltd   237 
 66,170      ERG S.p.A.   1,664 
 35,324      Essential Utilities Inc   1,422 
 1,051,102      Evergy, Inc   53,417 
 46,694      Eversource Energy   3,901 
 39,016      EVN AG.   651 
 3,680,144      Exelon Corp   131,602 
178

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

           VALUE 
SHARES       COMPANY  (000) 
 853,922      First Gen Corp  $412 
 3,646,667      FirstEnergy Corp   104,696 
 99,937   g  Fjordkraft Holding ASA   970 
 432,298      Fortis, Inc   17,674 
 439,619      Fortum Oyj   8,888 
 833,764      GAIL India Ltd   985 
 1,915,317      Gaz de France   25,595 
 894,000      GD Power Development Co Ltd   266 
 583,409      Genesis Energy Ltd   1,137 
 11,973   e  Genie Energy Ltd   96 
 654,465      Global Power Synergy Co Ltd (Foreign)   1,193 
 11,142   e  Global Water Resources, Inc   120 
 1,539,966      Guangdong Investments Ltd   2,449 
 154,189      Gujarat Gas Ltd   646 
 452,742      Gujarat State Petronet Ltd   1,282 
 2,343,092      Gulf Energy Development PCL   2,261 
 15,997      Hawaiian Electric Industries, Inc   532 
 1,733,131      Hera S.p.A.   6,391 
 2,454,500      HK Electric Investments & HK Electric Investments Ltd   2,538 
 256,793      Hokkaido Electric Power Co, Inc   1,097 
 189,577   e  Hokuriku Electric Power Co   1,420 
 102,104      Holding CO ADMIE IPTO S.A.   281 
 11,095,680      Hong Kong & China Gas Ltd   16,111 
 1,437,162      Hong Kong Electric Holdings Ltd   7,575 
 272,000      Huadian Power International Corp Ltd (Class A)   143 
 252,600      Huaneng Power International, Inc   201 
 2,009,556      Huaneng Power International, Inc (Hong Kong)   780 
 660,063   *  Hub Power Co Ltd   312 
 214,800      Hubei Energy Group Co Ltd   117 
 322,708   g  Hydro One Ltd   6,839 
 7,815,271      Iberdrola S.A.   96,195 
 74,086      Idacorp, Inc   5,919 
 97,816      Indraprastha Gas Ltd   515 
 524,081   e  Infraestructura Energetica ,NV SAB de C.V.   1,579 
 753,307      Infratil Ltd   2,496 
 404,500      Inner Mongolia MengDian HuaNeng Thermal Power Corp Ltd   153 
 133,749      Innergex Renewable Energy, Inc   2,417 
 1,027,900   *,†  Inter Far East Energy Corp    0^
 430,823      Interconexion Electrica S.A.   2,294 
 395,937      Inversiones Aguas Metropolitanas S.A.   287 
 728,468      Iride S.p.A.   1,873 
 550,834      Italgas S.p.A   3,474 
 310,107      JSW Energy Ltd   238 
 15,300      K&O Energy Group, Inc   218 
 818,493      Kansai Electric Power Co, Inc   7,933 
 27,403      Kenon Holdings Ltd   620 
 4,254,493      Keppel Infrastructure Trust   1,705 
 2,915   *  Korea District Heating Corp   87 
 130,418   *  Korea Electric Power Corp   2,272 
 14,640      Korea Gas Corp   307 
 320,370      Kyushu Electric Power Co, Inc   2,907 
 219,434      Light S.A.   567 
179

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

           VALUE 
SHARES       COMPANY  (000) 
 15,400      Luenmei Quantum Co Ltd  $29 
 36,592      Mahanagar Gas Ltd   413 
 2,069,300      Malakoff Corp BHD   472 
 234,636      Manila Electric Co   1,315 
 997,500      Manila Water Co, Inc   304 
 397,238      MDU Resources Group, Inc   8,938 
 242,000      Mega First Corp BHD   420 
 1,196,189      Meridian Energy Ltd   3,934 
 50,184      MGE Energy, Inc   3,145 
 14,011      Middlesex Water Co   871 
 636,993      Mighty River Power Ltd   2,155 
 270,936      Mosenergo PJSC (ADR)   329 
 32,505      National Fuel Gas Co   1,319 
 37,783      National Gas & Industrialization Co   308 
 3,154,498      National Grid plc   36,233 
 256,683      Naturgy Energy Group S.A.   5,148 
 146,961   e  New Jersey Resources Corp   3,971 
 1,128,533      NextEra Energy, Inc   313,236 
 39,929      Nippon Gas Co Ltd   2,018 
 532,078      NiSource, Inc   11,706 
 191,039   e  Northland Power Income Fund   5,779 
 44,454      Northwest Natural Holding Co   2,018 
 81,176      NorthWestern Corp   3,948 
 516,499      NRG Energy, Inc   15,877 
 1,230,282      NTPC Ltd   1,423 
 70,581   e  Oest Elektrizitatswirts AG. (Class A)   3,855 
 283,530      OGE Energy Corp   8,503 
 48,001      Okinawa Electric Power Co, Inc   752 
 99,339   *  Omega Geracao S.A.   648 
 107,645      ONE Gas, Inc   7,429 
 52,647      OPC Energy Ltd   479 
 32,697      Ormat Technologies, Inc   1,933 
 308,910   g  Orsted AS   42,586 
 308,914      Osaka Gas Co Ltd   6,014 
 54,516      Otter Tail Corp   1,972 
 48,483   *,e  Pampa Energia S.A. (ADR)   501 
 854,314      Pennon Group plc   11,366 
 825,146      Petronas Gas BHD   3,272 
 1,363,823   *,b  PG&E Corp   12,806 
 159,949      Pinnacle West Capital Corp   11,924 
 155,372      PNM Resources, Inc   6,422 
 409,379   *  Polska Grupa Energetyczna S.A.   680 
 263,981      Portland General Electric Co   9,371 
 1,771,774      Power Grid Corp of India Ltd   3,908 
 628,316      PPL Corp   17,096 
 13,295,320      PT Perusahaan Gas Negara Persero Tbk   832 
 94,178   *  Public Power Corp   563 
 123,571      Public Service Enterprise Group, Inc   6,785 
 32,063   *,e  Pure Cycle Corp   289 
 284,032      Qatar Electricity & Water Co   1,321 
 445,900      Ratch Group PCL   710 
 389,695      Red Electrica Corp S.A.   7,309 
 891,375      Redes Energeticas Nacionais S.A.   2,479 
 42,200   *,e  RENOVA, Inc   451 
180

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

           VALUE 
SHARES       COMPANY  (000) 
 7,566   e  RGC Resources, Inc  $177 
 270,030      Rubis S.C.A   10,811 
 2,605,248      RWE AG.   97,565 
 821,025      Saudi Electricity Co   3,770 
 107,890   g  Scatec Solar ASA   2,492 
 986,064      Scottish & Southern Energy plc   15,347 
 236,600      SDIC Power Holdings Co Ltd   314 
 48,166      Sechilienne-Sidec   2,505 
 427,442      Sempra Energy   50,592 
 31,627      Severn Trent plc   996 
 101,700      Shanghai Electric Power Co Ltd   112 
 181,400      Shenergy Co Ltd   147 
 196,080      Shenzhen Energy Group Co Ltd   155 
 175,842   e  Shikoku Electric Power Co, Inc   1,341 
 51,610      Shizuoka Gas Co Ltd   459 
 136,200      Sichuan Chuantou Energy Co Ltd   197 
 730,018   *,h  Siemens Energy AG.   19,686 
 793,715   e  SIIC Environment Holdings Ltd   107 
 57,889      SJW Corp   3,523 
 270,725      Snam Rete Gas S.p.A.   1,392 
 70,282   *  Solaria Energia y Medio Ambiente S.A.   1,330 
 128,000   *,†  Sound Global Ltd    0^
 110,102      South Jersey Industries, Inc   2,122 
 483,039      Southern Co   26,190 
 108,566      Southwest Gas Holdings Inc   6,851 
 27,697      Spark Energy, Inc   230 
 1,906,654      Spark Infrastructure Group   2,801 
 440,700      SPCG PCL   272 
 82,132      Spire, Inc   4,369 
 365,272      Suez Environnement S.A.   6,749 
 190,582   *  Sunnova Energy International, Inc   5,796 
 15,243,856      Super Energy Corp PCL (Foreign)   406 
 191,987   e  Superior Plus Corp   1,696 
 365,450      Taiwan Cogeneration Corp   481 
 1,220,948      Tata Power Co Ltd   885 
 979,773   *  Tauron Polska Energia S.A.   557 
 70,627   e  Telecom Plus plc   1,213 
 2,234,215      Tenaga Nasional BHD   5,654 
 41,423      Terna Energy S.A.   554 
 1,400,988      Terna Rete Elettrica Nazionale S.p.A.   9,802 
 1,349,278      Thai Tap Water Supply PCL   538 
 54,759   e  Toho Gas Co Ltd   2,710 
 329,767      Tohoku Electric Power Co, Inc   3,305 
 1,338,968   *  Tokyo Electric Power Co, Inc   3,682 
 416,310      Tokyo Gas Co Ltd   9,500 
 177,908      Torrent Power Ltd   757 
 887,000      Towngas China Co Ltd   367 
 2,216,339      TPI Polene Power PCL   290 
 301,699      TransAlta Corp   1,856 
 116,607   *,e  TransAlta Renewables, Inc   1,465 
 758,369      Transmissora Alianca de Energia Eletrica S.A.   3,776 
 31,333      UGI Corp   1,033 
 175,835      Uniper SE   5,676 
 125,786      United Utilities Group plc   1,389 
181

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

           VALUE 
SHARES       COMPANY  (000) 
 23,142      Unitil Corp  $894 
 553,623      Veolia Environnement   11,945 
 879,899      Vistra Energy Corp   16,595 
 158,194      WEC Energy Group, Inc   15,329 
 19,300   e  West Holdings Corp   528 
 961,100      WHA Utilities and Power PCL   108 
 420,963      Xcel Energy, Inc   29,051 
 9,063      York Water Co   383 
 3,056,444      YTL Corp BHD   498 
 1   *  Zorlu Enerji Elektrik Uretim AS   0 
        TOTAL UTILITIES   3,035,670 
              
        TOTAL COMMON STOCKS   111,028,066 
        (Cost $96,037,294)     
              
PURCHASED OPTIONS - 0.0%     
              
DIVERSIFIED FINANCIALS - 0.0%     
 560,000      Financial Select Sector SPDR Fund   353 
        TOTAL DIVERSIFIED FINANCIALS   353 
              
MATERIALS - 0.0%     
 34,000      Dow, Inc   99 
        TOTAL MATERIALS   99 
              
TECHNOLOGY HARDWARE & EQUIPMENT - 0.0%     
 1,000      Apple, Inc    0^
 1,600,000      Cisco Systems, Inc   16 
 250,000      Cisco Systems, Inc   3 
        TOTAL TECHNOLOGY HARDWARE & EQUIPMENT   19 
              
UTILITIES - 0.0%     
 360,000      Energy Select Sector SPDR Fund   36 
        TOTAL UTILITIES   36 
              
        TOTAL PURCHASED OPTIONS   507 
        (Cost $5,077)     
              
PREFERRED STOCKS - 0.0%     
              
REAL ESTATE - 0.0%     
 8,497,223   *,†  Ayala Land, Inc   18 
        TOTAL REAL ESTATE   18 
              
        TOTAL PREFERRED STOCKS   18 
        (Cost $20)     
              
RIGHTS / WARRANTS - 0.0%     
              
CAPITAL GOODS - 0.0%     
 79,135   e  Abengoa S.A. (B Shares)   1 
        TOTAL CAPITAL GOODS   1 
              
182

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

           VALUE 
SHARES       COMPANY  (000) 
CONSUMER SERVICES - 0.0%     
 11,519      EIH Ltd  $2 
 78,344      Minor International PCL  18 
 5,621   e  PointsBet Holdings Pty Ltd   10 
        TOTAL CONSUMER SERVICES   30 
              
DIVERSIFIED FINANCIALS - 0.0%     
 583,509      Ratchthani Leasing PCL   56 
 25,653      Srisawad Corp PCL   10 
 86,644   h  Woori Investment Bank Co Ltd   1 
        TOTAL DIVERSIFIED FINANCIALS   67 
              
ENERGY - 0.0%     
 8,918   e  Weatherford International plc   1 
        TOTAL ENERGY   1 
              
HEALTH CARE EQUIPMENT & SERVICES - 0.0%     
 318      Pulse Biosciences, Inc    0 
        TOTAL HEALTH CARE EQUIPMENT & SERVICES    0 
              
INSURANCE - 0.0%     
 705,621      Saga plc    0 
        TOTAL INSURANCE    0 
              
MATERIALS - 0.0%     
 105,650     Siam Cement PCL    0 
        TOTAL MATERIALS    0 
              
MEDIA & ENTERTAINMENT - 0.0%     
 230,631     Media General, Inc    0 
        TOTAL MEDIA & ENTERTAINMENT    0 
              
PHARMACEUTICALS, BIOTECHNOLOGY & LIFE SCIENCES - 0.0%     
 78,634   e  Almirall S.A.   19 
 156,143     Elanco Animal Health, Inc CVR   9 
 734      Medytox, Inc   18 
 17,790   †,e  Omthera Pharmaceuticals, Inc    11 
 20,027   †,e  Tobira Therapeutics, Inc    1 
        TOTAL PHARMACEUTICALS, BIOTECHNOLOGY & LIFE SCIENCES    58 
               
REAL ESTATE - 0.0%      
 57,586      Amata Corp PCL    2 
 66,478,080      U City PCL    21 
        TOTAL REAL ESTATE    23 
               
TECHNOLOGY HARDWARE & EQUIPMENT - 0.0%      
 30,484     Legend Holdings Corp    5 
        TOTAL TECHNOLOGY HARDWARE & EQUIPMENT    5 
               
TRANSPORTATION - 0.0%      
 1,248   h  Hanjin Transportation Co Ltd    7 
 4,253   h  Jin Air Co Ltd    8 
 1,972,962      SAS AB    102 
        TOTAL TRANSPORTATION    117 
               
        TOTAL RIGHTS / WARRANTS    302 
        (Cost $306)      
183

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

PRINCIPAL      ISSUER  RATE   MATURITY DATE  VALUE
(000)
 
SHORT-TERM INVESTMENTS - 2.1%             
                      
GOVERNMENT AGENCY DEBT - 0.7%             
$23,000,000      Federal Agricultural Mortgage Corp (FAMC)   0.095%  11/24/20  $22,998 
 10,000,000      FAMC   0.120   02/01/21   9,996 
 15,500,000      Federal Farm Credit Bank (FFCB)   0.060   10/06/20   15,500 
 20,000,000      FFCB   0.060   10/07/20   20,000 
 48,840,000      Federal Home Loan Bank (FHLB)   0.070-0.085   10/09/20   48,839 
 28,000,000      FHLB   0.085   10/14/20   28,000 
 13,470,000      FHLB   0.090   10/16/20   13,470 
 20,000,000      FHLB   0.070   10/21/20   19,999 
 50,000,000      FHLB   0.080   10/22/20   49,998 
 47,471,000      FHLB   0.070-0.100   10/23/20   47,469 
 60,750,000      FHLB   0.080-0.100   10/28/20   60,747 
 80,093,000      FHLB   0.080-0.100   10/30/20   80,089 
 23,060,000      FHLB   0.085   11/03/20   23,059 
 27,138,000      FHLB   0.105   11/04/20   27,136 
 28,140,000      FHLB   0.105   11/06/20   28,138 
 17,500,000      FHLB   0.094-0.095   11/18/20   17,498 
 25,000,000      FHLB   0.164   12/30/20   24,994 
 45,000,000      FHLB   0.100   01/19/21   44,988 
 20,000,000      FHLB   0.100   01/29/21   19,994 
 10,345,000      FHLB   0.115-0.120   02/17/21   10,341 
 15,000,000      FHLB   0.170   03/08/21   14,994 
 20,000,000      FHLB   0.110   03/12/21   19,991 
 25,000,000      Federal Home Loan Mortgage Corp (FHLMC)   0.145   10/19/20   24,999 
 11,240,000      Federal National Mortgage Association (FNMA)   0.115   10/14/20   11,240 
 25,000,000      FNMA    0.120   12/15/20   24,995 
        TOTAL GOVERNMENT AGENCY DEBT           709,472 
                      
REPURCHASE AGREEMENT - 0.1%             
 99,520,000   r  Fixed Income Clearing Corp (FICC)   0.070   10/01/20   99,520 
        TOTAL REPURCHASE AGREEMENT           99,520 
                      
TREASURY DEBT - 0.4%             
 75,515,000      United States Cash Management Bill   0.074-0.146   10/13/20   75,513 
 28,820,000      United States Cash Management Bill   0.099   11/17/20   28,817 
 50,000,000      United States Cash Management Bill   0.099   12/01/20   49,992 
 50,000,000      United States Cash Management Bill   0.102   01/05/21   49,987 
 50,000,000      United States Cash Management Bill   0.098   02/16/21   49,980 
 27,320,000      United States Treasury Bill   0.052-0.140   10/01/20   27,320 
 68,645,000      United States Treasury Bill   0.085-0.088   10/29/20   68,640 
 50,000,000      United States Treasury Bill   0.110   12/03/20   49,991 
 50,000,000      United States Treasury Bill   0.092   12/24/20   49,987 
 25,918,000      United States Treasury Bill   0.098-0.110   01/14/21   25,910 
        TOTAL TREASURY DEBT           476,137 
                      
INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED - 0.9%     
                      
CERTIFICATE OF DEPOSIT - 0.1%     
 83,000,000      Lloyds Bank plc   0.58   10/01/20   83,000 
        TOTAL CERTIFICATE OF DEPOSIT           83,000 
184

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

PRINCIPAL      ISSUER  RATE   MATURITY DATE  VALUE
(000)
 
REPURCHASE AGREEMENT - 0.8%     
$24,725,000   s  Barclays Capital   0.06%  10/01/20  $24,725 
 83,000,000   t  Calyon   0.08   10/01/20   83,000 
 50,000,000   u  Citigroup   0.06   10/01/20   50,000 
 100,000,000   v  Deutsche Bank   0.06   10/01/20   100,000 
 39,000,000   w  Goldman Sachs   0.06   10/01/20   39,000 
 67,000,000   x  HSBC Bank   0.06   10/01/20   67,000 
 62,000,000   y  HSBC Bank   0.08   10/01/20   62,000 
 34,000,000   z  JP Morgan Securities   0.07   10/01/20   34,000 
 129,000,000   aa  JP Morgan Securities   0.08   10/01/20   129,000 
 65,000,000   ab  Merrill Lynch   0.08   10/01/20   65,000 
 100,000,000   ac  Morgan Stanley   0.08   10/01/20   100,000 
 55,000,000   ad  Nomura   0.06   10/01/20   55,000 
 50,000,000   ae  Royal Bank of Scotland   0.06   10/01/20   50,000 
 45,712,000   af  Societe Generale   0.06   10/01/20   45,712 
 50,000,000   ag  Societe Generale   0.08   10/01/20   50,000 
        TOTAL REPURCHASE AGREEMENT           954,437 
                      
        TOTAL INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED   1,037,437 
                      
        TOTAL SHORT-TERM INVESTMENTS           2,322,566 
        (Cost $2,322,542)             
        TOTAL INVESTMENTS - 100.8%           113,351,767 
        (Cost $98,365,540)             
        OTHER ASSETS & LIABILITIES, NET - (0.8)%           (875,282)
        NET ASSETS - 100.0%          $112,476,485 
                                   
       
    Abbreviation(s):
ADR   American Depositary Receipt
CVR   Contingent Value Right
ETF   Exchange Traded Fund
GDR   Global Depositary Receipt
OTC   Over The Counter
REIT   Real Estate Investment Trust
SPDR   Standard & Poor’s Depositary Receipts
                                   
*   Non-income producing
^   Amount represents less than $1,000.
  Security is categorized as Level 3 in the fair value hierarchy.
a   Affiliated holding
b   In bankruptcy
d   All or a portion of these securities have been segregated to cover margin requirements on open futures contracts.
e   All or a portion of these securities are out on loan. The aggregate value of securities on loan is $1,749,795,128.
g   Security is exempt from registration under Rule 144(A) of the Securities Act of 1933, as amended. Such securities are deemed liquid and may be resold in transactions exempt from registration to qualified institutional buyers. At 9/30/20, the aggregate value of these securities is $1,178,066,376 or 1.0% of net assets.
h   All or a portion of these securities were purchased on a delayed delivery basis.
n   All or a portion of these securities have been segregated by the custodian to cover requirements on open written options contracts.
r   Agreement with Fixed Income Clearing Corporation, 0.070% dated 9/30/20 to be repurchased at $99,520,000 on 10/1/20, collateralized by U.S. Treasury Notes valued at $101,510,449.
s   Agreement with Barclays Capital, 0.06% dated 9/30/20 to be repurchased at $24,725,000 on 10/01/20, collateralized by U.S. Government Agency Securities valued at $25,219,500.
185

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

       
t   Agreement with Calyon, 0.08% dated 9/30/20 to be repurchased at $83,000,000 on 10/01/20, collateralized by U.S. Government Agency Securities valued at $84,660,000.
u   Agreement with Citigroup, 0.06% dated 9/30/20 to be repurchased at $50,000,000 on 10/01/20, collateralized by U.S. Government Agency Securities valued at $51,000,000.
v   Agreement with Deutsche Bank, 0.06% dated 9/30/20 to be repurchased at $100,000,000 on 10/01/20, collateralized by U.S. Government Agency Securities valued at $102,000,000.
w   Agreement with Goldman Sachs, 0.06% dated 9/30/20 to be repurchased at $39,000,000 on 10/01/20, collateralized by U.S. Government Agency Securities valued at $39,780,000.
x   Agreement with HSBC Bank, 0.06% dated 9/30/20 to be repurchased at $67,000,000 on 10/01/20, collateralized by U.S. Government Agency Securities valued at $68,340,000.
y   Agreement with HSBC Bank, 0.08% dated 9/30/20 to be repurchased at $62,000,000 on 10/01/20, collateralized by U.S. Government Agency Securities valued at $63,240,000.
z   Agreement with JP Morgan Securities, 0.07% dated 9/30/20 to be repurchased at $34,000,000 on 10/01/20, collateralized by U.S. Government Agency Securities valued at $34,680,000.
aa   Agreement with JP Morgan Securities, 0.08% dated 9/30/20 to be repurchased at $129,000,000 on 10/01/20, collateralized by U.S. Government Agency Securities valued at $131,580,000.
ab   Agreement with Merrill Lynch, 0.08% dated 9/30/20 to be repurchased at $65,000,000 on 10/01/20, collateralized by U.S. Government Agency Securities valued at $66,300,000.
ac   Agreement with Morgan Stanley, 0.08% dated 9/30/20 to be repurchased at $100,000,000 on 10/01/20, collateralized by U.S. Government Agency Securities valued at $102,000,000.
ad   Agreement with Nomura, 0.06% dated 9/30/20 to be repurchased at $55,000,000 on 10/01/20, collateralized by U.S. Government Agency Securities valued at $56,100,000.
ae   Agreement with Royal Bank of Scotland, 0.06% dated 9/30/20 to be repurchased at $50,000,000 on 10/01/20, collateralized by U.S. Government Agency Securities valued at $51,000,000.
af   Agreement with Societe Generale, 0.06% dated 9/30/20 to be repurchased at $45,712,000 on 10/01/20, collateralized by U.S. Government Agency Securities valued at $46,626,240.
ag   Agreement with Societe Generale, 0.08% dated 9/30/20 to be repurchased at $50,000,000 on 10/01/20, collateralized by U.S. Government Agency Securities valued at $51,000,000.
     
    Cost amounts are in thousands.
       

 

Purchased options outstanding as of September 30, 2020 were as follows (notional amounts and values are in thousands):

 

Description/underlying investment  Number of contracts   Notional amount   Exercise price  Expiration date  Value 
Apple, Inc, Call  10   $   8   $         132.50  10/16/20  $0^
Cisco Systems, Inc, Call  2,500    542    47.50  10/16/20   3 
Cisco Systems, Inc, Call  16,000    3,166    50.00  10/16/20   16 
Dow, Inc, Call  340    47    50.00  01/15/21   99 
Energy Select Sector SPDR Fund, Call  3,600    727    43.00  12/18/20   36 
Financial Select Sector SPDR Fund, Call  5,600    587    26.00  12/18/20   353 
Total  28,050   $5,077          $507 
^   Amount represents less than $1,000.
 
Written options outstanding as of September 30, 2020 were as follows (notional amounts and values are in thousands):
                   
Description/underlying investment  Number of contracts   Notional amount   Exercise price  Expiration date  Value 
Apple, Inc, Call  20   $   (8)   $         146.25   10/16/20  $(0)^
Apple, Inc, Call  1,404    (754)   92.50  10/16/20   (3,299)
Cisco Systems, Inc, Call  18,500    (221)   60.00  10/16/20   (19)
Dow, Inc, Put  340    (47)   25.00  01/15/21   (10)
DuPont de Nemours, Inc, Put  209    (85)   42.50  10/16/20   (2)
DuPont de Nemours, Inc, Put  209    (110)   45.00  10/16/20   (2)
JPMorgan Chase & Co, Put  20    (1)   85.00  10/09/20   (0)^
Total  20,702    (1,226)         $(3,332)

^   Amount represents less than $1,000.

186

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

Futures contracts outstanding as of September 30, 2020 were as follows (notional amounts and values are in thousands):

 

Description    Number of long
(short)
contracts
   Expiration date  Notional amount   Value   Unrealized
appreciation
(depreciation
)
Russell 2000 E Mini Index    527   12/18/20  $40,066   $39,641   $(425)
S&P 500 E Mini Index    3,582   12/18/20   607,125    600,343    (6,782)
S&P Mid-Cap 400 E Mini Index    383   12/18/20   71,757    71,081    (676)
Total    4,492      $718,948   $711,065   $(7,883)

 

Forward foreign currency contracts outstanding as of September 30, 2020 were as follows (dollar amounts are in thousands):

 

Currency to be
purchased
  Receive  Currency to be
sold
  Deliver  Counterparty  Settlement date  Unrealized
appreciation
(depreciation
)
$  4,014  CAD  5,400  Bank of America  10/21/20  $(42)
$  9,990  GBP  7,900  Bank of America  10/21/20   (205)
$  10,001  JPY  1,070,000  Bank of America  10/21/20   (147)
Total                 $(394)
$  4,971  AUD  7,100  Morgan Stanley   10/21/20  $(115)
$  54,459  CAD  72,000  Morgan Stanley   12/10/20   371 
$  39,064  GBP  30,000  Morgan Stanley   12/10/20   337 
$  4,998  SEK  45,000  Morgan Stanley   10/21/20   (27)
EUR  11,400  $  13,033  Morgan Stanley   10/21/20   339 
Total                 $905 
Total                 $511 
       
     
    Abbreviation(s):
AUD   Australian Dollar
CAD   Canadian Dollar
EUR   Euro
GBP   Pound Sterling
JPY   Japanese Yen
SEK   Swedish Krona
187

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

COLLEGE RETIREMENT EQUITIES FUND
STOCK ACCOUNT
SUMMARY OF MARKET VALUES BY COUNTRY (unaudited)
September 30, 2020

 

   Value   % of total 
Country  (000)   portfolio 
DOMESTIC          
           
UNITED STATES  $78,245,436    69.0%
TOTAL DOMESTIC   78,245,436    69.0 
FOREIGN          
           
ARGENTINA   40,072    0.0 
AUSTRALIA   1,559,562    1.4 
AUSTRIA   155,106    0.1 
BAHAMAS   524    0.0 
BELGIUM   162,394    0.2 
BERMUDA   33,237    0.0 
BRAZIL   666,683    0.6 
BURKINA FASO   3,047    0.0 
CAMEROON   860    0.0 
CANADA   1,946,993    1.7 
CAYMAN ISLANDS   3,323    0.0 
CHILE   53,508    0.0 
CHINA   3,973,543    3.5 
COLOMBIA   13,193    0.0 
COTE D’IVOIRE   4,554    0.0 
CYPRUS   84    0.0 
CZECH REPUBLIC   5,090    0.0 
DENMARK   524,634    0.5 
EGYPT   19,733    0.0 
FAROE ISLANDS   3,598    0.0 
FINLAND   217,307    0.2 
FRANCE   2,247,116    2.0 
GEORGIA   490    0.0 
GERMANY   2,045,628    1.8 
GHANA   1,125    0.0 
GREECE   12,300    0.0 
GUERNSEY, C.I.   1,478    0.0 
HONG KONG   581,430    0.5 
HUNGARY   11,070    0.0 
INDIA   861,831    0.8 
INDONESIA   150,801    0.1 
IRELAND   461,799    0.4 
ISLE OF MAN   659    0.0 
ISRAEL   226,654    0.2 
ITALY   582,002    0.5 
JAPAN   5,716,860    5.1 
JERSEY, C.I.   1,399    0.0 
JORDAN   2,636    0.0 
KAZAKHSTAN   4,478    0.0 
KOREA, REPUBLIC OF   1,085,128    1.0 
KYRGYZSTAN   2,804    0.0 
LIECHTENSTEIN   1,392    0.0 
LUXEMBOURG   36,665    0.0 
MACAU   98,019    0.1 
MALAYSIA   123,698    0.1 
MALTA   3,110    0.0 
MEXICO   207,306    0.2 
188

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

   Value   % of total 
Country  (000)   portfolio 
MONACO  $1,673    0.0%
MONGOLIA   938    0.0 
MYANMAR   319    0.0 
NETHERLANDS   1,483,218    1.3 
NEW ZEALAND   76,285    0.1 
NORWAY   160,545    0.1 
PAKISTAN   5,372    0.0 
PANAMA   2,724    0.0 
PERU   48,868    0.0 
PHILIPPINES   52,642    0.1 
POLAND   51,489    0.1 
PORTUGAL   50,543    0.1 
PUERTO RICO   15,465    0.0 
QATAR   44,509    0.0 
ROMANIA   797    0.0 
RUSSIA   302,895    0.3 
SAUDI ARABIA   207,447    0.2 
SINGAPORE   202,219    0.2 
SLOVENIA   4,677    0.0 
SOUTH AFRICA   341,909    0.3 
SPAIN   349,340    0.3 
SWEDEN   675,659    0.6 
SWITZERLAND   2,147,516    1.9 
TAIWAN   1,426,200    1.3 
TANZANIA, UNITED REPUBLIC OF   33,875    0.0 
THAILAND   142,955    0.1 
TURKEY   59,748    0.1 
UKRAINE   754    0.0 
UNITED ARAB EMIRATES   34,617    0.0 
UNITED KINGDOM   3,308,822    2.9 
VIETNAM   5,360    0.0 
ZAMBIA   12,028    0.0 
TOTAL FOREIGN   35,106,331    31.0 
           
TOTAL PORTFOLIO  $113,351,767    100.0%
189

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

 

COLLEGE RETIREMENT EQUITIES FUND

GLOBAL EQUITIES ACCOUNT

SCHEDULE OF INVESTMENTS (unaudited)

September 30, 2020

 

SHARES     COMPANY  VALUE
(000)
 
COMMON STOCKS - 98.7%     
             
ARGENTINA - 0.0%     
 6,527  *  Globant S.A.  $1,170 
 3,898  *  MercadoLibre, Inc   4,219 
 13,400     Telecom Argentina S.A. (ADR) (Class B)   88 
 39,900  *  YPF S.A. (ADR) (Class D)   142 
       TOTAL ARGENTINA   5,619 
             
AUSTRALIA - 1.6%     
 378,751  *  Afterpay Touch Group Ltd   22,325 
 65,233     AGL Energy Ltd   637 
 365,525     AMP Ltd   344 
 251,898     Ampol Ltd   4,347 
 134,629     APA Group   1,001 
 4,897     Aristocrat Leisure Ltd   107 
 19,427     AusNet Services   26 
 849,507     Australia & New Zealand Banking Group Ltd   10,598 
 42,402     Australian Stock Exchange Ltd   2,479 
 681,005  *,†  AZ BGP Holdings   2 
 25,113     BHP Billiton Ltd   649 
 18,003     BHP Group plc   384 
 5,047     BlueScope Steel Ltd   47 
 12,951     Brambles Ltd   98 
 79,830     Challenger Financial Services Group Ltd   222 
 286  *  CIMIC Group Ltd   4 
 5,396     Coca-Cola Amatil Ltd   37 
 560     Cochlear Ltd   80 
 11,383     Coles Group Ltd   139 
 44,382     Commonwealth Bank of Australia   2,042 
 4,874     Computershare Ltd   43 
 1,290     Crown Resorts Ltd   8 
 454,503     CSL Ltd   93,885 
 8,836     Dexus Property Group   57 
 12,889     Evolution Mining Ltd   54 
 6,939,111     Fortescue Metals Group Ltd   81,521 
 85,172     Glencore Xstrata plc   177 
 14,032     Goodman Group   182 
 13,668     GPT Group   38 
 1,214,495     IDP Education Ltd   16,719 
 1,850,000     Ingenia Communities Group   6,094 
 287,215     Insurance Australia Group Ltd   909 
 4,847     Lend Lease Corp Ltd   39 
 18,630     Macquarie Group Ltd   1,615 
 1,270     Magellan Financial Group Ltd   52 
 27,258     Medibank Pvt Ltd   49 
 140,000  *  Megaport Ltd   1,624 
 30,912     Mirvac Group   48 
190

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

 

SHARES     COMPANY  VALUE
(000)
 
 615,236     National Australia Bank Ltd  $7,904 
 463,480     Newcrest Mining Ltd   10,510 
 1,496,503  *  NEXTDC Ltd   13,280 
 6,028     Northern Star Resources Ltd   60 
 12,273     Oil Search Ltd   24 
 4,064     Orica Ltd   45 
 13,394     Origin Energy Ltd   42 
 5,461     Perpetual Trustees Australia Ltd   110 
 1,341,428  *,e  PointsBet Holdings Ltd   10,465 
 125,315     Qantas Airways Ltd   368 
 147,759     QBE Insurance Group Ltd   919 
 19,178     QR National Ltd   59 
 1,829     Ramsay Health Care Ltd   87 
 527     REA Group Ltd   42 
 3,166     Rio Tinto Ltd   216 
 446,976     Rio Tinto plc   26,896 
 13,908     Santos Ltd   49 
 630,997     Scentre Group   1,005 
 3,350     Seek Ltd   52 
 47,001     Sonic Healthcare Ltd   1,116 
 39,645     South32 Ltd   59 
 18,518     Stockland Trust Group   51 
 139,256     Suncorp-Metway Ltd   850 
 13,215     Sydney Airport   56 
 22,231     Tabcorp Holdings Ltd   54 
 518,029     Telstra Corp Ltd   1,037 
 2,356  *  TPG Telecom Ltd   12 
 23,323     Transurban Group   238 
 4,890     Treasury Wine Estates Ltd   31 
 24,091     Vicinity Centres   24 
 264,254  *,†  Virgin Australia Holdings Ltd   2 
 664  e  Washington H Soul Pattinson & Co Ltd   11 
 59,664     Wesfarmers Ltd   1,907 
 179,373     Westpac Banking Corp   2,181 
 1,337     Wisetech Global Ltd   25 
 8,300     Woodside Petroleum Ltd   105 
 98,411     Woolworths Ltd   2,573 
 2,208,434  *,e  Zip Co Ltd   10,119 
       TOTAL AUSTRALIA   341,266 
             
AUSTRIA - 0.0%     
 276     Andritz AG.   8 
 184,528  g  BAWAG Group AG.   6,672 
 108,489  *  Erste Bank der Oesterreichischen Sparkassen AG.   2,272 
 7,868  e  Oest Elektrizitatswirts AG. (Class A)   430 
 924  *  OMV AG.   25 
 1,640  *,e  Raiffeisen International Bank Holding AG.   25 
 1,133     Voestalpine AG.   30 
       TOTAL AUSTRIA   9,462 
             
BELGIUM - 0.0%     
 1,437     Ageas   59 
 58,858     Anheuser-Busch InBev S.A.   3,169 
 331  *  Colruyt S.A.   21 
 311     Elia System Operator S.A.   31 
191

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

 

SHARES     COMPANY  VALUE
(000)
 
 426  *  Galapagos NV  $61 
 962     Groupe Bruxelles Lambert S.A. (EN Brussels)   87 
 2,129     KBC Groep NV   107 
 957     Proximus plc   17 
 105     Sofina S.A.   29 
 595     Solvay S.A.   51 
 385     Telenet Group Holding NV   15 
 1,077     UCB S.A.   122 
 1,652     Umicore S.A.   69 
       TOTAL BELGIUM   3,838 
             
BERMUDA - 0.0%     
 28,402     RenaissanceRe Holdings Ltd   4,821 
 203,322  *  Third Point Reinsurance Ltd   1,413 
       TOTAL BERMUDA   6,234 
             
BRAZIL - 1.5%     
 890,900     AMBEV S.A.   1,989 
 271,721  *  Arco Platform Ltd   11,097 
 352,538     Arcos Dorados Holdings, Inc   1,445 
 67,400     Atacadao Distribuicao Comercio e Industria Ltd   246 
 5,661,097  *  B2W Companhia Global Do Varejo   90,704 
 384,500     B3 SA-Brasil Bolsa Balcao   3,766 
 236,902     Banco Bradesco S.A.   760 
 781,322     Banco Bradesco S.A. (Preference)   2,700 
 40,600     Banco BTG Pactual S.A. - Unit   527 
 156,032     Banco do Brasil S.A.   823 
 1,024,500     Banco Inter S.A.   9,902 
 911,219     Banco Itau Holding Financeira S.A.   3,651 
 70,300     Banco Santander Brasil S.A.   350 
 131,800     BB Seguridade Participacoes S.A.   570 
 38,000     Braskem S.A.   141 
 109,600  *  BRF S.A.   359 
 61,355     Centrais Eletricas Brasileiras S.A.   331 
 50,400     Centrais Eletricas Brasileiras S.A. (Preference)   280 
 2,138,800     Cia Brasileira de Distribuicao   26,560 
 208,700     Cia de Concessoes Rodoviarias   471 
 60,600     Cia de Saneamento Basico do Estado de Sao Paulo   505 
 194,483     Cia Energetica de Minas Gerais   350 
 16,900     Cia Paranaense de Energia   187 
 127,000     Cia Siderurgica Nacional S.A.   373 
 243,300     Cielo S.A.   170 
 342,100     Cogna Educacao   316 
 25,500     Cosan SA Industria e Comercio   310 
 44,200     CPFL Energia S.A.   217 
 35,700     Energisa S.A.   261 
 38,450     Engie Brasil Energia S.A.   276 
 169,300     Equatorial Energia S.A.   638 
 201,700     Gerdau S.A. (Preference)   747 
 37,300  g  Hapvida Participacoes e Investimentos S.A.   413 
 71,500     Hypermarcas S.A.   380 
 828,240     Investimentos Itau S.A. - PR   1,298 
 181,614     IRB Brasil Resseguros S   242 
 207,900     JBS S.A.   765 
 129,700     Klabin S.A.   550 
 2,112,090     Localiza Rent A Car   21,313 
192

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

 

SHARES     COMPANY  VALUE
(000)
 
 3,099,671     Lojas Americanas S.A. (Preference)  $15,670 
 150,280     Lojas Renner S.A.   1,061 
 1,397,100     Magazine Luiza S.A.   22,191 
 55,300     Multiplan Empreendimentos Imobiliarios S.A.   191 
 133,610     Natura & Co Holding S.A.   1,216 
 84,500     Notre Dame Intermedica Participacoes S.A.   979 
 497,075  *  Pagseguro Digital Ltd   18,745 
 126,500     Petrobras Distribuidora S.A.   454 
 715,500     Petroleo Brasileiro S.A.   2,519 
 914,638     Petroleo Brasileiro S.A. (Preference)   3,194 
 16,800     Porto Seguro S.A.   144 
 198,500     Raia Drogasil S.A.   828 
 242,400  *  Rumo S.A.   823 
 480,102  *  StoneCo Ltd   25,393 
 54,300     Sul America S.A.   383 
 102,680  *  Suzano Papel e Celulose S.A.   833 
 86,600     Telefonica Brasil S.A.   670 
 152,400     Tim Participacoes S.A.   354 
 135,300     Ultrapar Participacoes S.A.   464 
 667,900     Vale S.A.   7,030 
 238,700  *  Via Varejo S.A.   737 
 143,860     Weg S.A.   1,683 
 3,826     Wheaton Precious Metals Corp   188 
 422,546  *  XP, Inc   17,616 
       TOTAL BRAZIL   309,349 
             
CANADA - 1.7%     
 26,228     Agnico-Eagle Mines Ltd   2,090 
 197  *  Air Canada   2 
 5,027  e  Algonquin Power & Utilities Corp   73 
 1,097,483     Alimentation Couche Tard, Inc   38,219 
 2,935     AltaGas Ltd   35 
 960     Atco Ltd   28 
 8,817     B2Gold Corp   57 
 5,451     Bank of Montreal   319 
 57,750  e  Bank of Nova Scotia   2,399 
 1,450,703     Barrick Gold Corp (Canada)   40,747 
 1,287     BCE, Inc   53 
 5,790  *  Blackberry Ltd (New)   27 
 41,398  e  Brookfield Asset Management, Inc   1,370 
 2,029     CAE, Inc   30 
 2,984     Cameco Corp (Toronto)   30 
 968     Canadian Apartment Properties REIT   34 
 53,407     Canadian Imperial Bank of Commerce   3,992 
 6,060     Canadian National Railway Co   645 
 10,074     Canadian Natural Resources Ltd (Canada)   161 
 223,075     Canadian Pacific Railway Ltd (Toronto)   67,858 
 603  e  Canadian Tire Corp Ltd   61 
 1,508     Canadian Utilities Ltd   36 
 1,476  *,e  Canopy Growth Corp (Toronto)   21 
 1,216     CCL Industries   47 
 7,658     Cenovus Energy, Inc (Toronto)   30 
 1,961  *  CGI, Inc   133 
 1,004     CI Financial Corp   13 
 172     Constellation Software, Inc   191 
 2,302  *,e  Cronos Group, Inc   12 
193

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

 

SHARES     COMPANY  VALUE
(000)
 
 147,000  *  Descartes Systems Group, Inc  $8,374 
 672,317     Dollarama, Inc   25,771 
 500,000  *  Dye & Durham Ltd   8,344 
 2,089     Emera, Inc   86 
 1,333     Empire Co Ltd   39 
 182,280     Enbridge, Inc (Toronto)   5,325 
 228     Fairfax Financial Holdings Ltd   67 
 69     First Capital Real Estate Investment Trust   1 
 3,962     Fortis, Inc   162 
 1,620     Franco-Nevada Corp   226 
 806     George Weston Ltd   59 
 1,423     Gildan Activewear, Inc   28 
 2,914     Great-West Lifeco, Inc   57 
 2,801  e,g  Hydro One Ltd   59 
 749     iA Financial Corp, Inc   26 
 878  e  IGM Financial, Inc   20 
 1,554     Imperial Oil Ltd   19 
 83,499     Intact Financial Corp   8,941 
 4,418  e  Inter Pipeline Ltd   43 
 1,288  e  Keyera Corp   19 
 24,500  *  Kinaxis, Inc   3,606 
 10,739  *  Kinross Gold Corp   95 
 2,247     Kirkland Lake Gold Ltd   110 
 463,661  *,e  Lightspeed POS, Inc   14,855 
 1,524     Loblaw Cos Ltd   80 
 2,422     Magna International, Inc   111 
 134,401     Manulife Financial Corp (Toronto)   1,869 
 2,154     Metro, Inc   103 
 2,862     National Bank of Canada   142 
 717,885     Nutrien Ltd (Toronto)   28,148 
 857     Onex Corp   38 
 2,316     Open Text Corp (Toronto)   98 
 1,779     Pan American Silver Corp (Toronto)   57 
 1,559  e  Parkland Corp   41 
 4,686  e  Pembina Pipeline Income Fund   99 
 70,582     Power Corp Of Canada   1,383 
 1,832     Quebecor, Inc   46 
 2,431     Restaurant Brands International, Inc (Toronto)   140 
 60,264     RioCan Real Estate Investment Trust   636 
 902     Ritchie Bros Auctioneers, Inc   53 
 3,020     Rogers Communications, Inc (Class B)   120 
 248,176     Royal Bank of Canada   17,425 
 2,038     Saputo, Inc   51 
 3,977     Shaw Communications, Inc (B Shares)   73 
 36,960  *  Shopify, Inc (Class A) (Toronto)   37,797 
 723     Smart Real Estate Investment Trust   11 
 1,745  *  SSR Mining, Inc   33 
 51,930     Sun Life Financial, Inc   2,116 
 13,019     Suncor Energy, Inc   159 
 184,276     TC Energy Corp   7,736 
 4,940     Teck Cominco Ltd   69 
 3,557     TELUS Corp   63 
 1,479     Thomson Reuters Corp   118 
 457     TMX Group Ltd   47 
 394,157     Toronto-Dominion Bank   18,249 
 7,240  e  West Fraser Timber Co Ltd   336 
194

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

 

SHARES     COMPANY  VALUE
(000)
 
 960     WSP Global, Inc  $63 
 7,598     Yamana Gold, Inc   43 
       TOTAL CANADA   352,598 
             
CHILE - 0.0%     
 544,852     Aguas Andinas S.A.   153 
 3,946     Antofagasta plc   52 
 8,353,166     Banco de Chile   637 
 9,343     Banco de Credito e Inversiones   295 
 11,766,130     Banco Santander Chile S.A.   409 
 96,748     Cencosud Shopping S.A.   138 
 272,213     Centros Comerciales Sudamericanos S.A.   399 
 26,933     Cia Cervecerias Unidas S.A.   174 
 1,609,232     Colbun S.A.   260 
 71,825     Embotelladora Andina S.A.   159 
 27,406     Empresa Nacional de Telecomunicaciones S.A.   170 
 203,022     Empresas CMPC S.A.   427 
 70,419     Empresas COPEC S.A.   528 
 4,987,799     Enersis Chile S.A.   350 
 6,561,125     Enersis S.A.   853 
 6,410     Lundin Mining Corp   36 
 134,521     SACI Falabella   394 
 20,637     Sociedad Quimica y Minera de Chile S.A. (Class B)   671 
       TOTAL CHILE   6,105 
             
CHINA - 5.8%     
 52,000     360 Security Technology, Inc   127 
 246,500  *,e,g  3SBio, Inc   279 
 5,300  *  51job, Inc (ADR)   413 
 137,500     AAC Technologies Holdings, Inc   748 
 3,800     Accelink Technologies Co Ltd   20 
 14,200     Addsino Co Ltd   44 
 9,700     AECC Aero-Engine Control Co Ltd   28 
 27,200     AECC Aviation Power Co Ltd   165 
 206,000     Agile Property Holdings Ltd   271 
 5,406,000     Agricultural Bank of China Ltd   1,696 
 812,800     Agricultural Bank of China Ltd (Class A)   379 
 47,437     Aier Eye Hospital Group Co Ltd   359 
 73,900     Air China Ltd   77 
 364,000     Air China Ltd (H shares)   240 
 23,000     Airtac International Group   523 
 24,900     Aisino Corp   58 
 76,000  e,g  AK Medical Holdings Ltd   196 
 997,282  *  Alibaba Group Holding Ltd (ADR)   293,181 
 610,000  *  Alibaba Health Information Technology Ltd   1,500 
 82,500  g  A-Living Services Co Ltd   422 
 678,000  *  Aluminum Corp of China Ltd   140 
 182,500  *  Aluminum Corp of China Ltd (Class A)   78 
 107,430     Angang Steel Co Ltd   41 
 5,900     Angel Yeast Co Ltd   53 
 234,000     Anhui Conch Cement Co Ltd   1,621 
 45,700     Anhui Conch Cement Co Ltd (Class A)   373 
 19,900     Anhui Gujing Distillery Co Ltd   222 
 4,400     Anhui Gujing Distillery Co Ltd (Class A)   141 
 8,400     Anhui Kouzi Distillery Co Ltd   63 
 200,000     Anta Sports Products Ltd   2,087 
195

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

 

SHARES     COMPANY  VALUE
(000)
 
 3,500     Apeloa Pharmaceutical Co Ltd  $12 
 2,300     Asymchem Laboratories Tianjin Co Ltd   89 
 3,000     Autobio Diagnostics Co Ltd   71 
 10,900     Autohome, Inc (ADR)   1,046 
 33,200     AVIC Aircraft Co Ltd   113 
 80,200     Avic Capital Co Ltd   52 
 44,800     AVIC Electromechanical Systems Co Ltd   76 
 5,800     AVIC Jonhon Optronic Technology Co Ltd   40 
 10,200     AVIC Shenyang Aircraft Co Ltd   86 
 501,000     AviChina Industry & Technology Co   287 
 6,800     AVICOPTER plc   56 
 26,300  *  BAIC BluePark New Energy Technology Co Ltd   23 
 331,000  g  BAIC Motor Corp Ltd   135 
 51,400  *  Baidu, Inc (ADR)   6,507 
 265,100     Bank of Beijing Co Ltd   183 
 34,600     Bank of Chengdu Co Ltd   50 
 391,000     Bank of China Ltd   184 
 15,303,000     Bank of China Ltd (Hong Kong)   4,760 
 502,500     Bank of Communications Co Ltd   336 
 1,762,000     Bank of Communications Co Ltd (Hong Kong)   849 
 61,800     Bank of Hangzhou Co Ltd   107 
 142,600     Bank of Jiangsu Co Ltd   128 
 115,600     Bank of Nanjing Co Ltd   134 
 68,200     Bank of Ningbo Co Ltd   317 
 152,422     Bank of Shanghai Co Ltd   183 
 256,500     Baoshan Iron & Steel Co Ltd   188 
 9,569  *,e  Baozun, Inc (ADR)   311 
 96,300     BBMG Corp   44 
 383  *  BeiGene Ltd (ADR)   110 
 13,700     Beijing Capital Development Co Ltd   14 
 322,000     Beijing Capital International Airport Co Ltd   195 
 55,100     Beijing Dabeinong Technology Group Co Ltd   72 
 1,940     Beijing E-Hualu Information Technology Co Ltd   10 
 23,800     Beijing Enlight Media Co Ltd   58 
 87,500     Beijing Enterprises Holdings Ltd   264 
 898,000     Beijing Enterprises Water Group Ltd   350 
 15,100     Beijing Kunlun Tech Co Ltd   58 
 19,100     Beijing New Building Materials plc   87 
 11,300     Beijing Oriental Yuhong Waterproof Technology Co Ltd   90 
 35,500     Beijing Originwater Technology Co Ltd   46 
 10,900     Beijing Shiji Information Technology Co Ltd   62 
 8,000     Beijing Shunxin Agriculture Co Ltd   71 
 19,200     Beijing Sinnet Technology Co Ltd   63 
 7,000     Beijing Thunisoft Corp Ltd   25 
 9,440     Beijing Tiantan Biological Products Corp Ltd   55 
 19,500     Beijing Tongrentang Co Ltd   77 
 44,700     Beijing Yanjing Brewery Co Ltd   55 
 127,200     Beijing-Shanghai High Speed Railway Co Ltd   110 
 41,000  *,e  BEST, Inc (ADR)   123 
 4,700     Betta Pharmaceuticals Co Ltd   79 
 5,100     BGI Genomics Co Ltd   108 
 22,300  *  Bilibili, Inc (ADR)   928 
 417,400     BOE Technology Group Co Ltd   303 
 36,100  *  Bohai Leasing Co Ltd   15 
 644,000     Bosideng International Holdings Ltd   201 
 528,000     Brilliance China Automotive Holdings Ltd   499 
196

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

 

SHARES     COMPANY  VALUE
(000)
 
 16,200     BTG Hotels Group Co Ltd  $42 
 12,500  g  Budweiser Brewing Co APAC Ltd   37 
 21,400     BYD Co Ltd   368 
 123,000  e  BYD Co Ltd (H shares)   1,984 
 132,000  e  BYD Electronic International Co Ltd   670 
 21,000     By-health Co Ltd   65 
 15,600     C&S Paper Co Ltd   49 
 48,600     Caitong Securities Co Ltd   103 
 11,200  *,e,g  CanSino Biologics, Inc   239 
 5,600     Centre Testing International Group Co Ltd   20 
 1,987,000  g  CGN Power Co Ltd   409 
 5,800     Chacha Food Co Ltd   50 
 4,500     Changchun High & New Technology Industry Group, Inc   245 
 69,100     Changjiang Securities Co Ltd   82 
 225,000     Changsha Zoomlion Heavy Industry Science and Technology Development Co Ltd   217 
 2,600     Changzhou Xingyu Automotive Lighting Systems Co Ltd   57 
 17,400     Chaozhou Three-Circle Group Co Ltd   74 
 6,200     Chengdu Kanghong Pharmaceutical Group Co Ltd   42 
 40,000     China Aerospace Times Electronics Co Ltd   41 
 206,000     China Aoyuan Group Ltd   212 
 7,800     China Avionics Systems Co Ltd   20 
 1,553,000     China Cinda Asset Management Co Ltd   293 
 1,832,000     China Citic Bank   710 
 54,500     China CITIC Bank Corp Ltd   40 
 59,900     China Communications Construction Co Ltd   66 
 904,000     China Communications Construction Co Ltd (Hong Kong)   475 
 492,000     China Communications Services Corp Ltd   290 
 294,000     China Conch Venture Holdings Ltd   1,368 
 149,000     China Construction Bank Corp   135 
 18,073,000     China Construction Bank Corp (Hong Kong)   11,743 
 523,500  *  China COSCO Holdings Co Ltd   258 
 111,500  g  China East Education Holdings Ltd   243 
 103,800     China Eastern Airlines Corp Ltd   76 
 304,000  e  China Eastern Airlines Corp Ltd (H Shares)   131 
 142,000     China Education Group Holdings Ltd   261 
 491,100     China Everbright Bank Co Ltd   264 
 629,000     China Everbright Bank Co Ltd (Hong Kong)   199 
 654,555  e  China Everbright International Ltd   374 
 180,000     China Everbright Ltd   242 
 323,000  e  China Evergrande Group   829 
 220,000  e,g  China Feihe Ltd   514 
 20,700     China Film Co Ltd   43 
 43,343     China Fortune Land Development Co Ltd   97 
 594,500     China Galaxy Securities Co Ltd   336 
 49,700     China Galaxy Securities Co Ltd (Class A)   93 
 493,400     China Gas Holdings Ltd   1,412 
 53,800     China Gezhouba Group Co Ltd   47 
 28,100     China Great Wall Securities Co Ltd   54 
 36,200     China Greatwall Technology Group Co Ltd   86 
 334,000  e  China Hongqiao Group Ltd   209 
 1,777,000  g  China Huarong Asset Management Co Ltd   189 
 274,200     China Insurance International Holdings Co Ltd   420 
 258,400  *,e,g  China International Capital Corp Ltd   601 
 21,000     China International Travel Service Corp Ltd   690 
 39,600     China Jushi Co Ltd   84 
197

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

 

SHARES     COMPANY  VALUE
(000)
 
 206,000     China Lesso Group Holdings Ltd  $374 
 1,328,000     China Life Insurance Co Ltd   3,011 
 28,200     China Life Insurance Co Ltd (Class A)   185 
 57,600  *,e,g  China Literature Ltd   434 
 628,000     China Longyuan Power Group Corp   395 
 259,000     China Medical System Holdings Ltd   287 
 7,600     China Meheco Co Ltd   16 
 495,000     China Mengniu Dairy Co Ltd   2,335 
 725,000     China Merchants Bank Co Ltd   3,440 
 237,400     China Merchants Bank Co Ltd (Class A)   1,260 
 99,200     China Merchants Energy Shipping Co Ltd   84 
 243,426  e  China Merchants Holdings International Co Ltd   250 
 11,900     China Merchants Property Operation & Service Co Ltd   46 
 86,320  *  China Merchants Securities Co Ltd   275 
 72,500     China Merchants Shekou Industrial Zone Holdings Co Ltd   162 
 416,500     China Minsheng Banking Corp Ltd   325 
 1,155,800     China Minsheng Banking Corp Ltd (Hong Kong)   607 
 1,160,000     China Mobile Hong Kong Ltd   7,446 
 678,000     China Molybdenum Co Ltd   242 
 211,200     China Molybdenum Co Ltd (Class A)   116 
 6,000     China National Accord Medicines Corp Ltd   41 
 646,000     China National Building Material Co Ltd   823 
 53,200     China National Chemical Engineering Co Ltd   42 
 9,500     China National Medicines Corp Ltd   61 
 145,600     China National Nuclear Power Co Ltd   94 
 6,100     China National Software & Service Co Ltd   75 
 42,900  *  China Northern Rare Earth Group High-Tech Co Ltd   68 
 384,000     China Oilfield Services Ltd   269 
 1,578,935     China Overseas Land & Investment Ltd   3,988 
 75,400     China Pacific Insurance Group Co Ltd   347 
 483,600     China Pacific Insurance Group Co Ltd (Hong Kong)   1,381 
 1,104,000     China Power International Development Ltd   204 
 408,500     China Railway Construction Corp   283 
 134,913     China Railway Construction Corp Ltd   165 
 236,400     China Railway Group Ltd   188 
 773,000     China Railway Group Ltd (Hong Kong)   365 
 370,000  g  China Railway Signal & Communication Corp Ltd   122 
 1,334,000     China Reinsurance Group Corp   123 
 270,000     China Resources Beer Holdings Company Ltd   1,658 
 178,000     China Resources Gas Group Ltd   799 
 603,836     China Resources Land Ltd   2,754 
 278,000  g  China Resources Pharmaceutical Group Ltd   143 
 342,000     China Resources Power Holdings Co   379 
 11,100     China Resources Sanjiu Medical & Pharmaceutical Co Ltd   42 
 85,400     China Shenhua Energy Co Ltd   207 
 678,500     China Shenhua Energy Co Ltd (Hong Kong)   1,218 
 269,700  *  China Shipbuilding Industry Co Ltd   173 
 278,000     China Shipping Development Co Ltd   116 
 22,800     China South Publishing & Media Group Co Ltd   36 
 280,000  *,e  China Southern Airlines Co Ltd   152 
 102,600  *  China Southern Airlines Co Ltd (Class A)   88 
 13,500     China Spacesat Co Ltd   66 
 454,720     China State Construction Engineering Corp Ltd   341 
 360,000     China State Construction International Holdings Ltd   236 
 2,300,000     China Telecom Corp Ltd   691 
 8,480,000  g  China Tower Corp Ltd   1,475 
198

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

 

SHARES     COMPANY  VALUE
(000)
 
 17,400     China TransInfo Technology Co Ltd  $56 
 1,114,000     China Unicom Ltd   731 
 361,400     China United Network Communications Ltd   258 
 332,800     China Vanke Co Ltd   1,023 
 113,800     China Vanke Co Ltd (Class A)   471 
 199,800     China Yangtze Power Co Ltd   563 
 232,000  g  China Yuhua Education Corp Ltd   199 
 7,800     Chinese Universe Publishing and Media Group Co Ltd   13 
 6,200     Chongqing Brewery Co Ltd   94 
 42,600  *  Chongqing Changan Automobile Co Ltd   84 
 9,300     Chongqing Fuling Zhacai Group Co Ltd   65 
 424,000     Chongqing Rural Commercial Bank   157 
 17,800     Chongqing Zhifei Biological Products Co Ltd   365 
 558,535     CIFI Holdings Group Co Ltd   415 
 1,133,000     Citic Pacific Ltd   840 
 422,500  e  CITIC Securities Co Ltd   950 
 122,500     CITIC Securities Co Ltd (Class A)   544 
 3,490,000     CNOOC Ltd   3,357 
 26,300     Contemporary Amperex Technology Co Ltd   814 
 314,445     COSCO Pacific Ltd   181 
 82,500     COSCO SHIPPING Development Co Ltd   25 
 64,900     COSCO SHIPPING Energy Transportation Co Ltd   67 
 107,700  *  COSCO SHIPPING Holdings Co Ltd   91 
 1,362,000  e  Country Garden Holdings Co Ltd   1,686 
 251,000     Country Garden Services Holdings Co Ltd   1,630 
 757,000     CRRC Corp Ltd   303 
 245,000     CRRC Corp Ltd (Class A)   198 
 33,100     CSC Financial Co Ltd   244 
 1,056,800     CSPC Pharmaceutical Group Ltd   2,063 
 8,290     Da An Gene Co Ltd   43 
 371,500  g  Dali Foods Group Co Ltd   228 
 204,100     Daqin Railway Co Ltd   191 
 15,820     Dawning Information Industry Co Ltd   88 
 42,000     DHC Software Co Ltd   63 
 10,100     Dong-E-E-Jiao Co Ltd   59 
 31,200     Dongfang Electric Corp Ltd   47 
 554,000     Dongfeng Motor Group Co Ltd   347 
 27,500     Dongxing Securities Co Ltd   52 
 92,360     East Money Information Co Ltd   328 
 149,000     ENN Energy Holdings Ltd   1,635 
 20,370     Eve Energy Co Ltd   149 
 42,900     Everbright Securities Co Ltd   139 
 52,243  *  Fangda Carbon New Material Co Ltd   47 
 376,000     Far East Horizon Ltd   307 
 5,400     Fiberhome Telecommunication Technologies Co Ltd   19 
 45,000     First Capital Securities Co Ltd   74 
 174,700     Focus Media Information Technology Co Ltd   208 
 26,460     Foshan Haitian Flavouring & Food Co Ltd   632 
 457,500     Fosun International   536 
 105,300  *  Founder Securities Co Ltd   131 
 47,900     Foxconn Industrial Internet Co Ltd   96 
 974,000     Franshion Properties China Ltd   542 
 6,200     Fujian Star-net Communication Co Ltd   23 
 12,500     Fujian Sunner Development Co Ltd   40 
 27,600     Future Land Holdings Co Ltd   142 
 23,100     Fuyao Glass Industry Group Co Ltd   110 
199

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

 

SHARES     COMPANY  VALUE
(000)
 
 100,400  g  Fuyao Glass Industry Group Co Ltd (Hong Kong)  $370 
 700     G-bits Network Technology Xiamen Co Ltd   64 
 69,900  *  GCL System Integration Technology Co Ltd   39 
 342,400     GD Power Development Co Ltd   102 
 1,376,248  *  GDS Holdings Ltd (ADR)   112,618 
 1,112,000     Geely Automobile Holdings Ltd   2,231 
 57,600     GEM Co Ltd   40 
 49,100     Gemdale Corp   106 
 180,000  *  Genscript Biotech Corp   297 
 220,800     GF Securities Co Ltd   281 
 76,000     GF Securities Co Ltd (Class A)   177 
 21,900     Giant Network Group Co Ltd   62 
 5,180     Gigadevice Semiconductor Beijing, Inc   132 
 6,000     Glodon Co Ltd   65 
 36,100     GoerTek, Inc   216 
 1,905,000  *,e  GOME Electrical Appliances Holdings Ltd   252 
 13,100     Grandjoy Holdings Group Co Ltd   9 
 489,500     Great Wall Motor Co Ltd   624 
 35,900     Gree Electric Appliances, Inc of Zhuhai   283 
 73,800     Greenland Holdings Corp Ltd   69 
 272,000     Greentown Service Group Co Ltd   337 
 30,400     GRG Banking Equipment Co Ltd   55 
 14,500  *,e  GSX Techedu, Inc (ADR)   1,307 
 15,100     Guangdong Haid Group Co Ltd   136 
 36,200  *  Guangdong HEC Technology Holding Co Ltd   33 
 7,600     Guangdong Hongda Blasting Co Ltd   57 
 578,000     Guangdong Investments Ltd   919 
 74,500     Guangdong LY Intelligent Manufacturing Co Ltd   123 
 132,800  *  Guanghui Energy Co Ltd   56 
 482,000     Guangzhou Automobile Group Co Ltd (Hong Kong)   404 
 31,300     Guangzhou Baiyun International Airport Co Ltd   63 
 17,300     Guangzhou Baiyunshan Pharmaceutical Holdings Co Ltd   77 
 23,500     Guangzhou Haige Communications Group, Inc Co   41 
 5,100     Guangzhou Kingmed Diagnostics Group Co Ltd   77 
 259,200     Guangzhou R&F Properties Co Ltd   336 
 5,995     Guangzhou Shiyuan Electronic Technology Co Ltd   86 
 3,400     Guangzhou Wondfo Biotech Co Ltd   42 
 3,300  *  Guocheng Mining Co Ltd   8 
 47,700     Guosen Securities Co Ltd   95 
 86,400     Guotai Junan Securities Co Ltd   233 
 100,000  g  Guotai Junan Securities Co Ltd (Hong Kong)   140 
 8,600  *  Guoxuan High-Tech Co Ltd   30 
 32,300     Guoyuan Securities Co Ltd   57 
 139,000  e,g  Haidilao International Holding Ltd   1,007 
 232,000     Haier Electronics Group Co Ltd   843 
 214,200  *  Hainan Airlines Holding Co Ltd   55 
 124,000     Haitian International Holdings Ltd   289 
 533,600  *  Haitong Securities Co Ltd   456 
 111,400  *  Haitong Securities Co Ltd (Class A)   233 
 106,300     Hangzhou Hikvision Digital Technology Co Ltd   598 
 11,730     Hangzhou Robam Appliances Co Ltd   57 
 17,000     Hangzhou Silan Microelectronics Co Ltd   40 
 121,800     Hangzhou Tigermed Consulting Co Ltd   1,849 
 214,000  *,g  Hansoh Pharmaceutical Group Co Ltd   1,046 
 6,400     Hefei Meiya Optoelectronic Technology, Inc   45 
 24,400     Heilongjiang Agriculture Co Ltd   67 
200

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

 

SHARES     COMPANY  VALUE
(000)
 
 27,000     Henan Shuanghui Investment & Development Co Ltd  $211 
 119,500     Hengan International Group Co Ltd   875 
 60,580     Hengli Petrochemical Co Ltd   166 
 10,100     Hengtong Optic-electric Co Ltd   21 
 44,330     Hengyi Petrochemical Co Ltd   68 
 170,900  *  Hesteel Co Ltd   53 
 6,300     Hithink RoyalFlush Information Network Co Ltd   149 
 19,300  *  Holitech Technology Co Ltd   14 
 9,100     Hongfa Technology Co Ltd   61 
 6,260     Hopewell Highway Infrastructure Ltd   2 
 85,000  *,e,g  Hua Hong Semiconductor Ltd   327 
 48,600     Huaan Securities Co Ltd   63 
 95,000     Huadian Power International Corp Ltd (Class A)   50 
 22,540     Huadong Medicine Co Ltd   82 
 10,800     Huagong Tech Co Ltd   36 
 22,360     Hualan Biological Engineering, Inc   188 
 113,600     Huaneng Power International, Inc   90 
 604,000     Huaneng Power International, Inc (Hong Kong)   234 
 250,800  e,g  Huatai Securities Co Ltd   413 
 87,800     Huatai Securities Co Ltd (Class A)   266 
 30,800     Huaxi Securities Co Ltd   55 
 119,200     Huaxia Bank Co Ltd   108 
 17,000     Huaxin Cement Co Ltd   63 
 36,500     Huayu Automotive Systems Co Ltd   134 
 29,483     Huazhu Group Ltd (ADR)   1,275 
 51,000     Hubei Biocause Pharmaceutical Co Ltd   40 
 15,600     Hubei Jumpcan Pharmaceutical Co Ltd   51 
 6,200  *  Hubei Kaile Science & Technology Co Ltd   11 
 72,200     Hunan Valin Steel Co Ltd   54 
 12,163     Hundsun Technologies, Inc   177 
 13,000  *  Hutchison China MediTech Ltd (ADR)   420 
 10,300  *,e  HUYA, Inc (ADR)   247 
 27,700     Iflytek Co Ltd   140 
 548,000     Industrial & Commercial Bank of China Ltd   397 
 11,557,000     Industrial & Commercial Bank of China Ltd (Hong Kong)   6,020 
 244,000     Industrial Bank Co Ltd   580 
 83,900     Industrial Securities Co Ltd   103 
 578,600  *  Inner Mongolia BaoTou Steel Union Co Ltd   98 
 21,900     Inner Mongolia First Machinery Group Co Ltd   36 
 92,700     Inner Mongolia Junzheng Energy & Chemical Industry Group Co Ltd   99 
 34,700     Inner Mongolia MengDian HuaNeng Thermal Power Corp Ltd   13 
 73,100     Inner Mongolia Yili Industrial Group Co Ltd   415 
 243,000     Inner Mongolia Yitai Coal Co   168 
 173,500  *,g  Innovent Biologics, Inc   1,294 
 17,584     Inspur Electronic Information Industry Co Ltd   79 
 42,200  *  IQIYI, Inc (ADR)   953 
 10,260     Jafron Biomedical Co Ltd   107 
 403,900  *  JD.com, Inc (ADR)   31,347 
 34,800     Jiangsu Changshu Rural Commercial Bank Co Ltd   40 
 264,000     Jiangsu Express   267 
 14,504     Jiangsu Hengli Hydraulic Co Ltd   153 
 55,352     Jiangsu Hengrui Medicine Co Ltd   733 
 16,300     Jiangsu King’s Luck Brewery JSC Ltd   107 
 26,899     Jiangsu Shagang Co Ltd   48 
201

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

 

SHARES     COMPANY  VALUE
(000)
 
 18,100     Jiangsu Yanghe Brewery Joint-Stock Co Ltd  $333 
 1,700     Jiangsu Yangnong Chemical Co Ltd   22 
 12,100     Jiangsu Yuyue Medical Equipment & Supply Co Ltd   58 
 44,600     Jiangsu Zhongnan Construction Group Co Ltd   60 
 10,400     Jiangsu Zhongtian Technology Co Ltd   16 
 240,000     Jiangxi Copper Co Ltd   270 
 32,458     Jiangxi Copper Co Ltd (Class A)   68 
 11,700     Jiangxi Ganfeng Lithium Co Ltd   94 
 32,400     Jiangxi Zhengbang Technology Co Ltd   87 
 21,500     Jilin Aodong Pharmaceutical Group Co Ltd   53 
 14,400     Jinduicheng Molybdenum Co Ltd   13 
 51,200     Jinke Properties Group Co Ltd   68 
 14,000     Jinyu Bio-Technology Co Ltd   56 
 20,800     Joincare Pharmaceutical Group Industry Co Ltd   52 
 7,400  *  Jointown Pharmaceutical Group Co Ltd   18 
 9,400     Jonjee Hi-Tech Industrial And Commercial Holding Co Ltd   91 
 8,800     Joyoung Co Ltd   52 
 9,800     JOYY, Inc (ADR)   791 
 3,700     Juewei Food Co Ltd   45 
 6,600     Juneyao Airlines Co Ltd   10 
 424,000  e  Kaisa Group Holdings Ltd   218 
 17,200  *  KE Holdings, Inc (ADR)   1,054 
 121,000     Kingboard Chemical Holdings Ltd   400 
 432,000     Kingdee International Software Group Co Ltd   1,127 
 855,000  e  Kingsoft Corp Ltd   4,308 
 47,500  *,e,g  Koolearn Technology Holding Ltd   204 
 13,300     Kweichow Moutai Co Ltd   3,271 
 217,564     KWG Property Holding Ltd   375 
 4,760     Laobaixing Pharmacy Chain JSC   58 
 251,000     Lee & Man Paper Manufacturing Ltd   183 
 98,700  e,g  Legend Holdings Corp   120 
 1,378,000     Lenovo Group Ltd   911 
 32,600     Lens Technology Co Ltd   155 
 90,000     Leo Group Co Ltd   38 
 21,000     Lepu Medical Technology Beijing Co Ltd   104 
 16,000     Leyard Optoelectronic Co Ltd   18 
 398,000     Li Ning Co Ltd   1,873 
 17,200     Liaoning Cheng Da Co Ltd   59 
 8,100     Livzon Pharmaceutical Group, Inc   59 
 250,000     Logan Property Holdings Co Ltd   398 
 19,700     Lomon Billions Group Co Ltd   68 
 335,000  g  Longfor Properties Co Ltd   1,898 
 43,460     LONGi Green Energy Technology Co Ltd   481 
 12,900     Luenmei Quantum Co Ltd   25 
 76,409     Luxshare Precision Industry Co Ltd   645 
 343,500  e,g  Luye Pharma Group Ltd   201 
 17,100     Luzhou Laojiao Co Ltd   362 
 110,012     Maanshan Iron & Steel Co Ltd (Class A)   43 
 18,590     Mango Excellent Media Co Ltd   185 
 1,600     Maxscend Microelectronics Co Ltd   89 
 47,000  *  Meinian Onehealth Healthcare Holdings Co Ltd   98 
 655,100  *  Meituan Dianping (Class B)   20,636 
 188,900     Metallurgical Corp of China Ltd   74 
 4,000  e  Microport Scientific Corp   16 
 24,800     Momo, Inc (ADR)   341 
202

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

 

SHARES     COMPANY  VALUE
(000)
 
 40,060     Muyuan Foodstuff Co Ltd  $437 
 29,500     NanJi E-Commerce Co Ltd   75 
 3,430     Nanjing King-Friend Biochemical Pharmaceutical Co Ltd   23 
 39,900     Nanjing Securities Co Ltd   83 
 6,300  *  Nanyang Topsec Technologies Group, Inc   21 
 42,700     NARI Technology Co Ltd   124 
 4,300     NAURA Technology Group Co Ltd   101 
 24,400     NavInfo Co Ltd   53 
 19,600  h  Neo-China Land Group Holdings Ltd   2 
 15,100     Netease.com (ADR)   6,866 
 25,500     New China Life Insurance Co Ltd   234 
 161,100     New China Life insurance Co Ltd (Hong Kong)   606 
 34,000     New Hope Liuhe Co Ltd   139 
 26,300  *  New Oriental Education & Technology Group (ADR)   3,932 
 6,500     Newland Digital Technology Co Ltd   15 
 12,100     Ninestar Corp   51 
 15,700     Ningbo Joyson Electronic Corp   51 
 12,100     Ningbo Tuopu Group Co Ltd   72 
 196,732  *  NIO, Inc (ADR)   4,175 
 5,600  *  Noah Holdings Ltd (ADR)   146 
 30,200     Northeast Securities Co Ltd   44 
 75,900     Oceanwide Holdings Co Ltd   47 
 7,200     Offcn Education Technology Co Ltd   35 
 93,200     Offshore Oil Engineering Co Ltd   62 
 35,400     O-film Tech Co Ltd   76 
 3,640     Oppein Home Group, Inc   58 
 63,000     Orient Securities Co Ltd   103 
 6,750     Ovctek China, Inc   62 
 91,300  *  Pacific Securities Co Ltd   55 
 90,600  *  Pangang Group Vanadium Titanium & Resources Co Ltd   28 
 1,444,000     People’s Insurance Co Group of China Ltd   430 
 70,300  *  People’s Insurance Co Group of China Ltd (Class A)   70 
 23,400     Perfect World Co Ltd   115 
 1,198,000     PICC Property & Casualty Co Ltd   842 
 50,621  *  Pinduoduo, Inc (ADR)   3,754 
 225,200     Ping An Bank Co Ltd   504 
 145,100  *,e,g  Ping An Healthcare and Technology Co Ltd   1,872 
 8,313,203     Ping An Insurance Group Co of China Ltd   86,298 
 123,500     Ping An Insurance Group Co of China Ltd (Class A)   1,389 
 23,200     Poly Property Development Co Ltd   181 
 139,300     Poly Real Estate Group Co Ltd   327 
 1,920,000  g  Postal Savings Bank of China Co Ltd   809 
 5,400     Postal Savings Bank of China Co Ltd   4 
 175,500     Power Construction Corp of China Ltd   98 
 900     Proya Cosmetics Co Ltd   19 
 75,200     Qingdao Haier Co Ltd   242 
 63,300     Qingdao Rural Commercial Bank Corp   47 
 51,600     RiseSun Real Estate Development Co Ltd   58 
 54,900     Rongsheng Petro Chemical Co Ltd   152 
 92,100     SAIC Motor Corp Ltd   260 
 51,600     Sanan Optoelectronics Co Ltd   187 
 3,300     Sangfor Technologies, Inc   103 
 30,800     Sansteel Minguang Co Ltd   30 
 94,300     Sany Heavy Industry Co Ltd   346 
 36,400     SDIC Capital Co Ltd   82 
 79,800     SDIC Power Holdings Co Ltd   106 

203

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

 

SHARES     COMPANY  VALUE
(000)
 
 74,700     Sealand Securities Co Ltd  $59 
 382,000     Seazen Group Ltd   325 
 667,500  *,e  Semiconductor Manufacturing International Corp   1,563 
 34,800     SF Holding Co Ltd   418 
 1,800     SG Micro Corp   79 
 110,500     Shaanxi Coal Industry Co Ltd   137 
 16,370     Shandong Buchang Pharmaceuticals Co Ltd   60 
 45,220     Shandong Gold Mining Co Ltd   168 
 20,100     Shandong Hualu Hengsheng Chemical Co Ltd   73 
 12,200     Shandong Linglong Tyre Co Ltd   53 
 177,200     Shandong Nanshan Aluminum Co Ltd   60 
 9,600     Shandong Sinocera Functional Material Co Ltd   53 
 28,800     Shandong Sun Paper Industry JSC Ltd   60 
 472,000     Shandong Weigao Group Medical Polymer Co Ltd   944 
 95,500     Shanghai 2345 Network Holding Group Co Ltd   40 
 4,000     Shanghai Baosight Software Co Ltd   43 
 74,200     Shanghai Construction Group Co Ltd   34 
 22,700  *  Shanghai Electric Group Co Ltd   17 
 548,000  *  Shanghai Electric Group Co Ltd (Hong Kong)   148 
 32,800     Shanghai Electric Power Co Ltd   36 
 23,400     Shanghai Fosun Pharmaceutical Group Co Ltd   169 
 103,000     Shanghai Fosun Pharmaceutical Group Co Ltd (Hong Kong)   431 
 98,000     Shanghai Industrial Holdings Ltd   131 
 12,300     Shanghai International Airport Co Ltd   125 
 57,500     Shanghai International Port Group Co Ltd   35 
 9,100     Shanghai Jahwa United Co Ltd   51 
 9,200     Shanghai Jinjiang International Hotels Development Co Ltd   55 
 234,669     Shanghai Lujiazui Finance & Trade Zone Development Co Ltd   197 
 8,100     Shanghai M&G Stationery, Inc   81 
 44,100     Shanghai Oriental Pearl Group Co Ltd   63 
 25,500     Shanghai Pharmaceuticals Holding Co Ltd   76 
 156,600     Shanghai Pharmaceuticals Holding Co Ltd (Hong Kong)   263 
 330,600     Shanghai Pudong Development Bank Co Ltd   457 
 5,000     Shanghai Putailai New Energy Technology Co Ltd   80 
 66,900     Shanghai RAAS Blood Products Co Ltd   81 
 25,000     Shanghai Tunnel Engineering Co Ltd   21 
 31,100     Shanghai Yuyuan Tourist Mart Group Co Ltd   40 
 20,500     Shanghai Zhangjiang High-Tech Park Development Co Ltd   57 
 61,779     Shanxi Lu’an Environmental Energy Development Co Ltd   56 
 62,400  *  Shanxi Meijin Energy Co Ltd   56 
 30,030     Shanxi Securities Co Ltd   35 
 76,500     Shanxi Taigang Stainless Steel Co Ltd   41 
 10,000     Shanxi Xinghuacun Fen Wine Factory Co Ltd   292 
 114,270     Shanxi Xishan Coal & Electricity Power Co Ltd   73 
 56,400     Shenergy Co Ltd   46 
 16,700     Shengyi Technology Co Ltd   58 
 3,280     Shennan Circuits Co Ltd   57 
 282,300     Shenwan Hongyuan Group Co Ltd   221 
 33,600     Shenzhen Airport Co Ltd   42 
 36,500     Shenzhen Energy Group Co Ltd   29 
 148,000     Shenzhen Expressway Co Ltd   129 
 5,500     Shenzhen Goodix Technology Co Ltd   128 
204

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

 

SHARES     COMPANY  VALUE
(000)
 
 10,200     Shenzhen Hepalink Pharmaceutical Group Co Ltd  $34 
 21,100     Shenzhen Inovance Technology Co Ltd   180 
 213,985     Shenzhen International Holdings Ltd   341 
 556,776     Shenzhen Investment Ltd   163 
 11,600     Shenzhen Kaifa Technology Co Ltd   35 
 7,200     Shenzhen Kangtai Biological Products Co Ltd   193 
 6,800     Shenzhen Kingdom Sci-Tech Co Ltd   18 
 59,561     Shenzhen Mindray Bio-Medical Electronics Co Ltd   3,051 
 86,800     Shenzhen Overseas Chinese Town Co Ltd   87 
 14,300     Shenzhen Salubris Pharmaceuticals Co Ltd   73 
 11,600     Shenzhen Sunway Communication Co Ltd   94 
 154,100     Shenzhou International Group Holdings Ltd   2,624 
 14,500     Shijiazhuang Yiling Pharmaceutical Co Ltd   57 
 218,000     Shimao Property Holdings Ltd   909 
 11,900  *  Siasun Robot & Automation Co Ltd   25 
 32,200     Sichuan Chuantou Energy Co Ltd   46 
 21,900     Sichuan Kelun Pharmaceutical Co Ltd   72 
 13,700     Sichuan Languang Development Co Ltd   10 
 6,600     Sichuan Swellfun Co Ltd   63 
 304,400     Silergy Corp   18,047 
 10,628  *  Sina Corp   453 
 35,900    Sinolink Securities Co Ltd   80 
 623,000     Sino-Ocean Land Holdings Ltd   126 
 262,000     Sinopec Engineering Group Co Ltd   97 
 880,000     Sinopec Shanghai Petrochemical Co Ltd   161 
 119,300     Sinopec Shanghai Petrochemical Co Ltd (Class A)   58 
 226,800     Sinopharm Group Co   479 
 24,400     Sinotrans Ltd (Class A)   13 
 129,500     Sinotruk Hong Kong Ltd   334 
 428,000  *  Soho China Ltd   116 
 29,200     Songcheng Performance Development Co Ltd   79 
 43,940     SooChow Securities Co Ltd   69 
 60,100     Southwest Securities Co Ltd   47 
 7,300     Spring Airlines Co Ltd   48 
 18,800     STO Express Co Ltd   42 
 436,500     Sun Art Retail Group Ltd   485 
 442,000     Sunac China Holdings Ltd   1,741 
 107,000     Suning.com Co Ltd   143 
 134,600     Sunny Optical Technology Group Co Ltd   2,091 
 19,000     Sunwoda Electronic Co Ltd   76 
 5,900     Suofeiya Home Collection Co Ltd   23 
 16,500     Suzhou Dongshan Precision Manufacturing Co Ltd   65 
 26,900     Suzhou Gold Mantis Construction Decoration Co Ltd   38 
 70,300  *  TAL Education Group (ADR)   5,346 
 16,900     Tangshan Jidong Cement Co Ltd   39 
 46,900     TBEA Co Ltd   61 
 156,400     TCL Corp   142 
 4,223,600     Tencent Holdings Ltd   285,276 
 65,300  *  Tencent Music Entertainment (ADR)   964 
 4,400     Thunder Software Technology Co Ltd   56 
 82,500     Tianfeng Securities Co Ltd   79 
 5,100     Tianjin 712 Communication & Broadcasting Co Ltd   34 
 37,900     Tianjin Chase Sun Pharmaceutical Co Ltd   30 
 33,400     Tianjin Zhonghuan Semiconductor Co Ltd   109 
 21,800     Tianma Microelectronics Co Ltd   48 
 20,360  *  Tianqi Lithium Corp   60 
205

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

 

SHARES     COMPANY  VALUE
(000)
 
 32,600     Tianshui Huatian Technology Co Ltd  $66 
 356,000     Tingyi Cayman Islands Holding Corp   630 
 5,100     Toly Bread Co Ltd   45 
 168,800  *  Tongcheng-Elong Holdings Ltd   310 
 13,500  *  TongFu Microelectronics Co Ltd   46 
 31,900     Tonghua Dongbao Pharmaceutical Co Ltd   64 
 23,300     Tongkun Group Co Ltd   48 
 57,100     Tongling Nonferrous Metals Group Co Ltd   19 
 44,700     Tongwei Co Ltd   176 
 3,500  *  Topchoice Medical Corp   110 
 7,114,912  g  Topsports International Holdings Ltd   9,892 
 43,700     Transfar Zhilian Co Ltd   36 
 184,000     Travelsky Technology Ltd   395 
 83,600  *  Trip.com Group Ltd (ADR)   2,603 
 82,000     Tsingtao Brewery Co Ltd   671 
 9,100     Tsingtao Brewery Co Ltd (Class A)   101 
 51,000  *  Tunghsu Optoelectronic Technology Co Ltd   23 
 7,200     Unigroup Guoxin Microelectronics Co Ltd   127 
 241,000     Uni-President China Holdings Ltd   221 
 28,700     Unisplendour Corp Ltd   108 
 15,400     Universal Scientific Industrial Shanghai Co Ltd   58 
 4,300     Venustech Group, Inc   22 
 82,700  *  Vipshop Holdings Ltd (ADR)   1,293 
 7,500  *  Visionox Technology, Inc   17 
 17,400     Walvax Biotechnology Co Ltd   130 
 29,200  *  Wanda Film Holding Co Ltd   77 
 29,900     Wangsu Science & Technology Co Ltd   36 
 36,400     Wanhua Chemical Group Co Ltd   373 
 959,000     Want Want China Holdings Ltd   670 
 10,700  *,e  Weibo Corp (ADR)   390 
 373,000     Weichai Power Co Ltd   755 
 71,000     Weichai Power Co Ltd (Class A)   158 
 11,600     Weifu High-Technology Group Co Ltd   43 
 6,000     Weihai Guangwei Composites Co Ltd   63 
 79,440     Wens Foodstuffs Group Co Ltd   229 
 48,800     Western Securities Co Ltd   68 
 10,700     Westone Information Industry, Inc   29 
 6,000     Will Semiconductor Ltd   157 
 14,862  e  Wilmar International Ltd   48 
 10,600     Wingtech Technology Co Ltd   183 
 29,250     Winning Health Technology Group Co Ltd   84 
 478,000     Winteam Pharmaceutical Group Ltd   201 
 16,400  *  Wonders Information Co Ltd   58 
 61,700     Wuchan Zhongda Group Co Ltd   42 
 18,020     Wuhan Guide Infrared Co Ltd   92 
 22,600     Wuhu Shunrong Sanqi Interactive Entertainment Network Technology Co Ltd   132 
 31,200     Wuhu Token Science Co Ltd   46 
 43,600     Wuliangye Yibin Co Ltd   1,421 
 12,200     WUS Printed Circuit Kunshan Co Ltd   34 
 23,980     WuXi AppTec Co Ltd   359 
 51,972  g  WuXi AppTec Co Ltd (Hong Kong)   752 
 2,757,450  *,g  Wuxi Biologics Cayman, Inc   67,580 
 10,800     Wuxi Lead Intelligent Equipment Co Ltd   77 
 26,200     Wuxi Taiji Industry Co Ltd   40 
 78,500     XCMG Construction Machinery Co Ltd   64 
206

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

 

SHARES     COMPANY  VALUE
(000)
 
 12,300     Xiamen C & D, Inc  $16 
 5,300     Xiamen Intretech, Inc   46 
 8,700     Xiamen Tungsten Co Ltd   17 
 1,946,800  *,g  Xiaomi Corp   5,270 
 110,000     Xinhu Zhongbao Co Ltd   55 
 42,600     Xinjiang Goldwind Science & Technology Co Ltd   64 
 122,400     Xinjiang Goldwind Science & Technology Co Ltd (Hong Kong)   108 
 738,863     Xinyi Solar Holdings Ltd   1,178 
 19,340  *  XPeng, Inc (ADR)   388 
 48,100     Yango Group Co Ltd   52 
 34,149     Yangzijiang Shipbuilding   25 
 13,300     Yantai Jereh Oilfield Services Group Co Ltd   59 
 362,000     Yanzhou Coal Mining Co Ltd   271 
 57,000     Yanzhou Coal Mining Co Ltd (Class A)   78 
 7,050     Yealink Network Technology Corp Ltd   63 
 15,100     Yifan Pharmaceutical Co Ltd   56 
 5,340     Yifeng Pharmacy Chain Co Ltd   78 
 87,000     Yihai International Holding Ltd   1,367 
 36,820     Yintai Gold Co Ltd   57 
 120,400     Yonghui Superstores Co Ltd   139 
 31,959     Yonyou Network Technology Co Ltd   180 
 6,000     Youzu Interactive Co Ltd   15 
 19,100  *  Yuan Longping High-tech Agriculture Co Ltd   51 
 1,322,000     Yuexiul Property Co Ltd   260 
 202,926     Yum China Holdings, Inc   10,745 
 29,380     Yunda Holding Co Ltd   81 
 12,200     Yunnan Baiyao Group Co Ltd   183 
 8,200     Yunnan Energy New Material Co Ltd   111 
 300,220     Yuzhou Properties Co   120 
 12,700  *  Zai Lab Ltd (ADR)   1,056 
 5,600     Zhangzhou Pientzehuang Pharmaceutical Co Ltd   201 
 217,000     Zhaojin Mining Industry Co Ltd   267 
 86,320  *  Zhejiang Century Huatong Group Co Ltd   121 
 22,600     Zhejiang Chint Electrics Co Ltd   101 
 44,700  *  Zhejiang Conba Pharmaceutical Co Ltd   34 
 33,600     Zhejiang Dahua Technology Co Ltd   102 
 4,860     Zhejiang Dingli Machinery Co Ltd   71 
 302,000     Zhejiang Expressway Co Ltd   219 
 18,150     Zhejiang Huahai Pharmaceutical Co Ltd   86 
 14,910  *  Zhejiang Huayou Cobalt Co Ltd   76 
 6,900     Zhejiang Jingsheng Mechanical & Electrical Co Ltd   31 
 36,900     Zhejiang Juhua Co Ltd   37 
 43,900     Zhejiang Longsheng Group Co Ltd   88 
 24,900     Zhejiang NHU Co Ltd   109 
 39,390     Zhejiang Sanhua Intelligent Controls Co Ltd   130 
 31,300     Zhejiang Semir Garment Co Ltd   37 
 2,400     Zhejiang Supor Co Ltd   28 
 15,100     Zhejiang Wanfeng Auto Wheel Co Ltd   15 
 20,500     Zhejiang Weixing New Building Materials Co Ltd   48 
 5,300     Zhejiang Wolwo Bio-Pharmaceutical Co Ltd   44 
 28,200     Zhengzhou Yutong Bus Co Ltd   65 
 271,000     Zhenro Properties Group Ltd   166 
 36,500     Zheshang Securities Co Ltd   96 
 72,600  *,e,g  ZhongAn Online P&C Insurance Co Ltd   364 
 7,200     Zhongji Innolight Co Ltd   53 
207

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

 

SHARES     COMPANY  VALUE
(000)
 
 47,900     Zhongjin Gold Corp Ltd  $71 
 98,500     Zhongsheng Group Holdings Ltd   620 
 78,600  *  Zhongtian Financial Group Co Ltd   39 
 108,700     Zhuzhou CSR Times Electric Co Ltd   365 
 1,094,000     Zijin Mining Group Co Ltd   699 
 240,800     Zijin Mining Group Co Ltd (Class A)   220 
 61,800  *  Zoomlion Heavy Industry Science and Technology Co Ltd   74 
 46,800     ZTE Corp   229 
 150,000  e  ZTE Corp (Class H)   361 
 73,946     ZTO Express Cayman, Inc (ADR)   2,212 
       TOTAL CHINA   1,209,608 
             
COLOMBIA - 0.0%     
 45,373     BanColombia S.A.   288 
 82,333     BanColombia S.A. (Preference)   531 
 1,113,159     Ecopetrol S.A.   551 
 41,509     Grupo de Inversiones Suramericana S.A.   224 
 82,104     Interconexion Electrica S.A.   437 
       TOTAL COLOMBIA   2,031 
             
CZECH REPUBLIC - 0.0%     
 32,620     CEZ AS   617 
 13,623     Komercni Banka AS   287 
 857,788  g  Moneta Money Bank AS   1,970 
       TOTAL CZECH REPUBLIC   2,874 
             
DENMARK - 0.8%     
 1,114  e  Ambu A.S.   31 
 32     AP Moller - Maersk AS (Class A)   47 
 56     AP Moller - Maersk AS (Class B)   89 
 103,643     Carlsberg AS (Class B)   13,963 
 899     Christian Hansen Holding   100 
 11,012     Coloplast AS   1,745 
 5,880     Danske Bank AS   80 
 99,740     DSV AS   16,178 
 33,581  *  Genmab AS   12,187 
 1,092     GN Store Nord   82 
 752     H Lundbeck AS   25 
 659,507     Novo Nordisk AS   45,694 
 1,773     Novozymes AS   111 
 611,026  g  Orsted AS   84,236 
 811     Pandora AS   59 
 784     Tryg A.S.   25 
 1,679     Vestas Wind Systems AS   271 
 1,033  *,e  William Demant Holding A.S.   32 
       TOTAL DENMARK   174,955 
             
EGYPT - 0.0%     
 256,188     Commercial International Bank   1,081 
 213,703     Eastern Tobacco   163 
 148,275     ElSwedy Cables Holding Co   65 
       TOTAL EGYPT   1,309 
             
FINLAND - 0.3%
 1,199     Elisa Oyj (Series A)   70 
208

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

 

SHARES     COMPANY  VALUE
(000)
 
 3,780     Fortum Oyj  $76 
 2,895     Kone Oyj (Class B)   254 
 865,283     Neste Oil Oyj   45,566 
 48,185     Nokia Oyj (Turquoise)   189 
 56,827     Nordea Bank Abp   432 
 961     Orion Oyj (Class B)   44 
 208,533     Sampo Oyj (A Shares)   8,258 
 57,352     Stora Enso Oyj (R Shares)   898 
 4,547     UPM-Kymmene Oyj   138 
 3,172  e  Wartsila Oyj (B Shares)   25 
       TOTAL FINLAND   55,950 
             
FRANCE - 3.3%     
 196,401  e  Accor S.A.   5,497 
 1,572  *  Adevinta ASA   27 
 156     Aeroports de Paris   16 
 33,940     Air Liquide   5,380 
 1,092,498     Airbus SE   79,234 
 1,643  *  Alstom RGPT   82 
 608  g  Amundi S.A.   43 
 693     Arkema   73 
 986     Atos Origin S.A.   79 
 16,487     AXA S.A.   305 
 327     BioMerieux   51 
 1,326,828     BNP Paribas S.A.   47,997 
 9,916     Bollore   37 
 2,285     Bouygues S.A.   79 
 2,946     Bureau Veritas S.A.   66 
 1,372     Cap Gemini S.A.   176 
 5,162     Carrefour S.A.   83 
 16  *,e  Casino Guichard Perrachon S.A.    0^ 
 1,460     CNP Assurances   18 
 612,406     Compagnie de Saint-Gobain   25,652 
 405,143     Credit Agricole S.A.   3,535 
 168,259     Danone   10,899 
 11     Dassault Aviation S.A.   9 
 394,607     Dassault Systemes S.A.   73,627 
 2,074     Edenred   93 
 849     Eiffage S.A.   69 
 69,087     Electricite de France   730 
 204,730     Essilor International S.A.   27,871 
 487     Eurazeo   26 
 767     Faurecia   33 
 268     Fonciere Des Regions   19 
 221,842     Gaz de France   2,965 
 4,460     Gecina S.A.   588 
 4,412     Getlink S.E.   60 
 270     Hermes International   233 
 5,556  e  Icade   311 
 63     Iliad S.A.   12 
 516  e  Ingenico   80 
 265     Ipsen   28 
 98  e  JC Decaux S.A.   2 
 130,049     Kering   86,267 
 918  e  Klepierre   13 
 881  g  La Francaise des Jeux SAEM   32 
209

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

 

SHARES     COMPANY  VALUE
(000)
 
 2,274     Legrand S.A.  $181 
 152,249     L’Oreal S.A.   49,546 
 55,081     LVMH Moet Hennessy Louis Vuitton S.A.   25,772 
 93,239     Michelin (C.G.D.E.) (Class B)   10,009 
 8,065     Natixis   18 
 225,048     Orange S. A.   2,344 
 519     Orpea   59 
 7,069     Pernod-Ricard S.A.   1,127 
 5,018  e  Peugeot S.A.   91 
 1,756     Publicis Groupe S.A.   57 
 159     Remy Cointreau S.A.   29 
 1,640     Renault S.A.   43 
 2,732     Safran S.A.   269 
 260,568     Sanofi-Aventis   26,112 
 13,261     Sartorius Stedim Biotech   4,577 
 710,653     Schneider Electric S.A.   88,333 
 1,118  *  SCOR SE   31 
 219     SEB S.A.   36 
 6,915     Societe Generale   92 
 754     Sodexho Alliance S.A.   54 
 46,611     Suez Environnement S.A.   861 
 164,281     Teleperformance   50,648 
 1,068     Thales S.A.   80 
 69,965  e  Total S.A.   2,403 
 233,561  *  Ubisoft Entertainment   21,050 
 933  e  Unibail-Rodamco-Westfield   34 
 91     Unibail-Rodamco-Westfield (Paris)   3 
 880,667     Valeo S.A.   27,044 
 63,281     Veolia Environnement   1,365 
 113,941     Vinci S.A.   9,521 
 7,070     Vivendi Universal S.A.   197 
 271     Wendel   25 
 1,168  *,g  Worldline S.A.   96 
       TOTAL FRANCE   694,504 
             
GERMANY - 2.7%     
 38,416     Adidas-Salomon AG.   12,406 
 72,467     Allianz AG.   13,909 
 308,876     Aroundtown S.A.   1,550 
 63,991     BASF SE   3,897 
 397,237     Bayer AG.   24,507 
 65,273     Bayerische Motoren Werke AG.   4,737 
 2,287     Bayerische Motoren Werke AG. (Preference)   125 
 61,330     Bechtle AG.   12,410 
 132,791     Beiersdorf AG.   15,077 
 1,158,743     Borussia Dortmund GmbH & Co KGaA   6,949 
 1,316     Brenntag AG.   84 
 295     Carl Zeiss Meditec AG.   37 
 10,060     Commerzbank AG.   49 
 938     Continental AG.   102 
 41,017  g  Covestro AG.   2,034 
 7,297     Daimler AG. (Registered)   394 
 1,101  *,g  Delivery Hero AG.   126 
 54,391     Deutsche Annington Immobilien SE   3,729 
 16,744  *  Deutsche Bank AG. (Registered)   141 
 100,114     Deutsche Boerse AG.   17,552 
210

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

 

SHARES     COMPANY  VALUE
(000)
 
 1,367  *  Deutsche Lufthansa AG.  $12 
 8,430     Deutsche Post AG.   382 
 589,237     Deutsche Telekom AG.   9,811 
 42,913     Deutsche Wohnen AG.   2,145 
 266,273     E.ON AG.   2,935 
 2,105     Evonik Industries AG.   54 
 472     Fraport AG. Frankfurt Airport Services Worldwide   19 
 64,299     Fresenius Medical Care AG.   5,436 
 3,564     Fresenius SE   162 
 655     Fuchs Petrolub AG. (Preference)   33 
 1,542     GEA Group AG.   54 
 514     Hannover Rueckversicherung AG.   80 
 877,330     HeidelbergCement AG.   53,610 
 368,481  *  HelloFresh SE   20,478 
 22,878     Henkel KGaA   2,140 
 1,518     Henkel KGaA (Preference)   159 
 90     Hochtief AG.   7 
 3,759,908     Infineon Technologies AG.   105,976 
 489     KION Group AG.   42 
 606     Knorr-Bremse AG.   71 
 830     Lanxess AG.   47 
 7,588     LEG Immobilien AG.   1,082 
 1,101     Merck KGaA   160 
 334     Metro Wholesale & Food Specialist AG.   3 
 451     MTU Aero Engines Holding AG.   75 
 19,945     Muenchener Rueckver AG.   5,070 
 395     Nemetschek AG.   29 
 756  *  OSRAM Licht AG.   45 
 472,863  *  Paion AG.   1,287 
 1,306  *  Porsche AG.   78 
 683     Puma AG. Rudolf Dassler Sport   61 
 2,316,636     RWE AG.   86,756 
 8,900     SAP AG.   1,386 
 303     Sartorius AG.   124 
 916  g  Scout24 AG.   80 
 850,340     Siemens AG.   107,389 
 425,721  *,h  Siemens Energy AG.   11,480 
 2,477  g  Siemens Healthineers AG.   111 
 1,096     Symrise AG.   151 
 410,903  *,g  TeamViewer AG.   20,266 
 10,957     Telefonica Deutschland Holding AG.   28 
 1,401  *  ThyssenKrupp AG.   7 
 1,599     Uniper SE   52 
 1,032     United Internet AG.   39 
 1,883  *  Volkswagen AG. (Preference)   303 
 1,293  *,g  Zalando SE   121 
       TOTAL GERMANY   559,651 
             
GREECE - 0.0%     
 5,760  *,†  Hellenic Duty Free Shops S.A.    0^ 
 44,099     Hellenic Telecommunications Organization S.A.   635 
 19,961     JUMBO S.A.   349 
 12,529     Motor Oil Hellas Corinth Refineries S.A.   148 
 36,915     OPAP S.A.   350 
       TOTAL GREECE   1,482 
211

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

 

SHARES     COMPANY  VALUE
(000)
 
HONG KONG - 0.3%     
 1,493,558     AIA Group Ltd  $14,846 
 2,140,000  *,e  Alibaba Pictures Group Ltd   319 
 1,818     ASM Pacific Technology   19 
 12,085     Bank of East Asia Ltd   22 
 31,353     BOC Hong Kong Holdings Ltd   83 
 130,000  *,e  Cathay Pacific Airways Ltd   90 
 220,000     China Overseas Property Holdings Ltd   181 
 451,999     China Resources Cement Holdings Ltd   621 
 22,125     CK Asset Holdings Ltd   109 
 47,953     CK Infrastructure Holdings Ltd   225 
 208,954     CLP Holdings Ltd   1,951 
 700  e  Dairy Farm International Holdings Ltd   3 
 415,654     Hang Lung Properties Ltd   1,059 
 6,472     Hang Seng Bank Ltd   96 
 162,073     Henderson Land Development Co Ltd   602 
 13,000  e  HK Electric Investments & HK Electric Investments Ltd   13 
 24,660     HKT Trust and HKT Ltd   33 
 1,279,878     Hong Kong & China Gas Ltd   1,858 
 155,488     Hong Kong Electric Holdings Ltd   820 
 428,878     Hong Kong Exchanges and Clearing Ltd   20,189 
 261,765     Hongkong Land Holdings Ltd   975 
 1,900     Jardine Matheson Holdings Ltd   76 
 2,200  e  Jardine Strategic Holdings Ltd   44 
 1,526     Kerry Properties Ltd   4 
 214,500     Kingboard Laminates Holdings Ltd   297 
 167,568     Link REIT   1,373 
 1,077,603     Melco Crown Entertainment Ltd (ADR)   17,942 
 13,080     MTR Corp   65 
 190,573     New World Development Co Ltd   930 
 277,000  e  Nine Dragons Paper Holdings Ltd   350 
 638     NWS Holdings Ltd    0^ 
 6,724  *  Pacific Century Premium Developments Ltd   2 
 43,262     PCCW Ltd   26 
 1,949,250     Sino Biopharmaceutical   2,135 
 32,885     Sino Land Co   38 
 18,611     SJM Holdings Ltd   22 
 270,000  e  SSY Group Ltd   154 
 162,968     Sun Hung Kai Properties Ltd   2,100 
 1,628     Swire Pacific Ltd (Class A)   8 
 10,977     Swire Properties Ltd   29 
 11,902  e  Techtronic Industries Co   158 
 62,000     Vinda International Holdings Ltd   204 
 95,500  g  WH Group Ltd   78 
 273,000     Wharf Holdings Ltd   548 
 141,537     Wharf Real Estate Investment Co Ltd   580 
       TOTAL HONG KONG   71,277 
             
HUNGARY - 0.0%     
 74,536  *  MOL Hungarian Oil & Gas plc   406 
 41,193  *  OTP Bank   1,240 
 24,748     Richter Gedeon Rt   522 
       TOTAL HUNGARY   2,168 
             
INDIA - 0.5%     
 128,931     Ambuja Cements Ltd   379 
212

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

 

SHARES     COMPANY  VALUE
(000)
 
 53,297     Asian Paints Ltd  $1,436 
 54,530     Aurobindo Pharma Ltd   590 
 28,434  *,g  Avenue Supermarts Ltd   850 
 417,813  *  Axis Bank Ltd   2,418 
 33,680     Bajaj Finance Ltd   1,509 
 7,117     Bajaj Finserv Ltd   568 
 13,038     Bajaj Holdings and Investment Ltd   510 
 136,498  *,g  Bandhan Bank Ltd   510 
 43,417     Berger Paints India Ltd   344 
 40,580     Bharat Forge Ltd   247 
 127,534     Bharat Petroleum Corp Ltd   610 
 231,511     Bharti Airtel Ltd   1,324 
 67,782     Bharti Infratel Ltd   161 
 53,100  *  Biocon Ltd   322 
 997     Bosch Ltd   186 
 10,538     Britannia Industries Ltd   544 
 66,477     Cipla Ltd   699 
 257,033     Coal India Ltd   406 
 12,052     Colgate-Palmolive India Ltd   235 
 40,841     Container Corp Of India Ltd   204 
 98,770     Dabur India Ltd   685 
 14,816     Divi S Laboratories Ltd   613 
 108,938     DLF Ltd   226 
 21,171     Dr Reddy’s Laboratories Ltd   1,483 
 24,386     Eicher Motors Ltd   728 
 287,870     GAIL India Ltd   340 
 75,831     Godrej Consumer Products Ltd   748 
 57,462     Grasim Industries Ltd   582 
 47,050     Havells India Ltd   433 
 201,223     HCL Technologies Ltd   2,218 
 9,681  g  HDFC Asset Management Co Ltd   299 
 129,309  *,g  HDFC Life Insurance Co Ltd   982 
 18,548     Hero Honda Motors Ltd   792 
 215,938     Hindalco Industries Ltd   516 
 150,488     Hindustan Lever Ltd   4,229 
 118,950     Hindustan Petroleum Corp Ltd   291 
 301,294     Housing Development Finance Corp   7,141 
 935,598  *  ICICI Bank Ltd   4,524 
 38,529  g  ICICI Lombard General Insurance Co Ltd   679 
 64,420  g  ICICI Prudential Life Insurance Co Ltd   369 
 382,985     Indian Oil Corp Ltd   384 
 41,516     Indraprastha Gas Ltd   219 
 11,487     Info Edge India Ltd   567 
 627,403     Infosys Technologies Ltd   8,627 
 17,896  *,g  InterGlobe Aviation Ltd   302 
 544,631     ITC Ltd   1,272 
 156,179     JSW Steel Ltd   591 
 13,568     Jubilant Foodworks Ltd   430 
 88,223     Larsen & Toubro Ltd   1,082 
 58,150     LIC Housing Finance Ltd   219 
 41,006     Lupin Ltd   561 
 139,809     Mahindra & Mahindra Ltd   1,156 
 82,670     Marico Ltd   407 
 22,290     Maruti Suzuki India Ltd   2,043 
 174,430     Motherson Sumi Systems Ltd   273 
 96,684     Mundra Port and Special Economic Zone Ltd   450 
213

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

 

SHARES     COMPANY  VALUE
(000)
 
 4,287     Nestle India Ltd  $925 
 458,950     NTPC Ltd   531 
 1,054     Page Industries Ltd   305 
 117,205     Petronet LNG Ltd   351 
 22,810     Pidilite Industries Ltd   444 
 16,980     Piramal Healthcare Ltd   289 
 351,367     Power Grid Corp of India Ltd   775 
 522,913     Reliance Industries Ltd   15,859 
 134,713     Rural Electrification Corp Ltd   182 
 73,234  *,g  SBI Life Insurance Co Ltd   806 
 343,124     Sesa Sterlite Ltd   640 
 1,656     Shree Cement Ltd   456 
 16,882     Shriram Transport Finance Co Ltd   142 
 13,543     Siemens India Ltd   232 
 321,382  *  State Bank of India   811 
 155,295     Sun Pharmaceutical Industries Ltd   1,056 
 164,794     Tata Consultancy Services Ltd   5,575 
 329,129  *  Tata Motors Ltd   597 
 63,408     Tata Steel Ltd   311 
 78,987     Tata Tea Ltd   536 
 85,777     Tech Mahindra Ltd   923 
 56,745     Titan Industries Ltd   926 
 9,576     Torrent Pharmaceuticals Ltd   364 
 21,381     Ultra Tech Cement Ltd   1,177 
 90,778     United Phosphorus Ltd   621 
 53,756  *  United Spirits Ltd   376 
 211,296     Wipro Ltd   899 
 163,309     ZEE Telefilms Ltd   464 
       TOTAL INDIA   97,086 
             
INDONESIA - 0.1%     
 3,008,000     Adaro Energy Tbk   231 
 67,817,400     Bank Rakyat Indonesia   13,913 
 416,100     Indofood CBP Sukses Makmur Tbk   282 
 1,289,900     PT ACE Hardware Indonesia Tbk   138 
 3,696,800     PT Astra International Tbk   1,113 
 1,780,500     PT Bank Central Asia Tbk   3,250 
 3,459,747     PT Bank Mandiri Persero Tbk   1,157 
 1,275,700     PT Bank Negara Indonesia   383 
 4,770,200  *  PT Barito Pacific Tbk   255 
 1,381,100     PT Charoen Pokphand Indonesia Tbk   529 
 691,700     PT Excelcomindo Pratama   95 
 85,400  *  PT Gudang Garam Tbk   230 
 1,887,700     PT Hanjaya Mandala Sampoerna Tbk   178 
 481,300     PT Indah Kiat Pulp and Paper Corp Tbk   292 
 291,400     PT Indocement Tunggal Prakarsa Tbk   204 
 851,900     PT Indofood Sukses Makmur Tbk   411 
 3,866,000     PT Kalbe Farma Tbk   404 
 2,537,300     PT Perusahaan Gas Negara Persero Tbk   159 
 575,000     PT Semen Gresik Persero Tbk   356 
 9,353,900     PT Telekomunikasi Indonesia Persero Tbk   1,615 
 1,392,100     PT Unilever Indonesia Tbk   760 
 298,800     PT United Tractors Tbk   459 
       TOTAL INDONESIA   26,414 
214

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

 

SHARES     COMPANY  VALUE
(000)
 
IRELAND - 0.6%     
 764  *  AerCap Holdings NV  $19 
 3,905,171     AIB Group plc   4,006 
 3,123,349     Bank of Ireland Group plc   5,791 
 577,495     CRH plc   20,941 
 166,583  *  Flutter Entertainment plc   26,240 
 6,318,432     Hibernia REIT plc   7,380 
 93,203     Kerry Group plc (Class A)   11,938 
 739,784     Keywords Studios plc   20,772 
 1,310     Kingspan Group plc   119 
 1,315     Paddy Power plc   209 
 820,852     Smurfit Kappa Group plc   32,208 
       TOTAL IRELAND   129,623 
             
ISRAEL - 0.1%     
 182     Azrieli Group   8 
 137,155     Bank Hapoalim Ltd   733 
 173,082     Bank Leumi Le-Israel   762 
 975  *  Check Point Software Technologies   117 
 251     Elbit Systems Ltd   30 
 6,219     Isracard Ltd   15 
 6,873     Israel Chemicals Ltd   24 
 11,697     Israel Discount Bank Ltd   32 
 156,175  *  Kornit Digital Ltd   10,131 
 22,423     Mizrahi Tefahot Bank Ltd   398 
 532  *  Nice Systems Ltd   121 
 9,338  *  Teva Pharmaceutical Industries Ltd (ADR)   84 
 439  *  Wix.com Ltd   112 
       TOTAL ISRAEL   12,567 
             
ITALY - 1.3%     
 675,087     Amplifon S.p.A.   24,141 
 9,400     Assicurazioni Generali S.p.A.   132 
 4,979  *  Autostrade S.p.A.   78 
 2,573,598     Davide Campari-Milano NV   28,089 
 160     DiaSorin S.p.A.   32 
 8,502,578     Enel S.p.A.   73,768 
 21,685     ENI S.p.A.   169 
 170,542     Ferrari NV   31,298 
 5,127     FinecoBank Banca Fineco S.p.A   71 
 2,236     Finmeccanica S.p.A.   13 
 2,215  g  Infrastrutture Wireless Italiane S.p.A   24 
 1,715,301  e  Intesa Sanpaolo S.p.A.   3,227 
 426,965     Mediobanca S.p.A.   3,346 
 633,546     Moncler S.p.A   25,926 
 3,095  *,e,g  Nexi S.p.A   62 
 781  g  Pirelli & C S.p.A   3 
 5,283  g  Poste Italiane S.p.A   47 
 2,775,681  e  Prada S.p.A   10,921 
 1,962     Prysmian S.p.A.   57 
 791     Recordati S.p.A.   41 
 17,362     Snam Rete Gas S.p.A.   89 
 60,931     Telecom Italia RSP   25 
 84,290  e  Telecom Italia S.p.A.   34 
 11,994     Terna Rete Elettrica Nazionale S.p.A.   84 
 7,661,249     UniCredit S.p.A.   63,299 
       TOTAL ITALY   264,976 
215

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

 

SHARES     COMPANY  VALUE
(000)
 
JAPAN - 6.7%     
 110     ABC-Mart, Inc  $6 
 4,600     Acom Co Ltd   20 
 176     Activia Properties Inc   670 
 121,700     Advantest Corp   5,920 
 5,546     Aeon Co Ltd   149 
 797     Aeon Mall Co Ltd   11 
 17,073     Air Water, Inc   231 
 387,990     Aisin Seiki Co Ltd   12,413 
 3,968     Ajinomoto Co, Inc   81 
 1,905     Alfresa Holdings Corp   42 
 6,750     All Nippon Airways Co Ltd   156 
 2,744     Amada Co Ltd   26 
 141,499  *,e  Amazia, Inc   4,784 
 984     Aozora Bank Ltd   16 
 3,851     Asahi Breweries Ltd   134 
 1,601     Asahi Glass Co Ltd   47 
 1,600     Asahi Intecc Co Ltd   50 
 149,726     Asahi Kasei Corp   1,306 
 7,300     Ashikaga Holdings Co Ltd   17 
 181,300     Astellas Pharma, Inc   2,703 
 137,421  e  Bank of Kyoto Ltd   6,644 
 145,800  *,e  BASE, Inc   15,370 
 468,700     Benefit One, Inc   11,874 
 453     Benesse Holdings, Inc   12 
 197     BLife Investment Corp   503 
 4,530     Bridgestone Corp   143 
 2,285     Brother Industries Ltd   36 
 800     Calbee, Inc   26 
 8,577     Canon, Inc   142 
 1,133  *,e  Casio Computer Co Ltd   18 
 40,481     Central Japan Railway Co   5,803 
 500  e  Century Leasing System, Inc   27 
 2,862     Chiba Bank Ltd   16 
 95,406     Chubu Electric Power Co, Inc   1,160 
 69,707     Chugai Pharmaceutical Co Ltd   3,128 
 1,666  e  Chugoku Electric Power Co, Inc   21 
 500     Coca-Cola West Japan Co Ltd   8 
 6,100     Concordia Financial Group Ltd   21 
 100     Cosmos Pharmaceutical Corp   17 
 800     CyberAgent, Inc   49 
 2,438     Dai Nippon Printing Co Ltd   49 
 1,746     Daicel Chemical Industries Ltd   13 
 1,000     Daifuku Co Ltd   101 
 9,211     Dai-ichi Mutual Life Insurance Co   130 
 2,798,682     Daiichi Sankyo Co Ltd   85,913 
 75,277     Daikin Industries Ltd   13,909 
 3,849     Daito Trust Construction Co Ltd   341 
 4,856     Daiwa House Industry Co Ltd   125 
 14,480  *  Daiwa Securities Group, Inc   61 
 3,687     Denso Corp   162 
 1,855     Dentsu, Inc   55 
 200     Disco Corp   49 
 3,532     Don Quijote Co Ltd   82 
 83,797     East Japan Railway Co   5,153 
216

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

 

SHARES     COMPANY  VALUE
(000)
 
 353,228     Eisai Co Ltd  $32,261 
 993     Electric Power Development Co   15 
 1,300  e  FamilyMart Co Ltd   29 
 1,585     Fanuc Ltd   304 
 4,283     Fast Retailing Co Ltd   2,692 
 65,200  *,e  Freee KK   4,945 
 1,264     Fuji Electric Holdings Co Ltd   40 
 5,239     Fuji Heavy Industries Ltd   102 
 3,086     Fujifilm Holdings Corp   152 
 1,698     Fujitsu Ltd   232 
 846     Fukuoka Financial Group, Inc   14 
 29     GLP J-Reit   45 
 125,699     GMO Payment Gateway, Inc   13,465 
 2,400     Hakuhodo DY Holdings, Inc   31 
 1,400     Hamamatsu Photonics KK   71 
 1,893     Hankyu Hanshin Holdings, Inc   61 
 232     Hikari Tsushin, Inc   55 
 382  *  Hino Motors Ltd   2 
 273     Hirose Electric Co Ltd   35 
 575     Hisamitsu Pharmaceutical Co, Inc   29 
 1,133  *,e  Hitachi Construction Machinery Co Ltd   41 
 1,960,915  *  Hitachi Ltd   66,395 
 23,985     Hitachi Metals Ltd   370 
 13,896     Honda Motor Co Ltd   330 
 412     Hoshizaki Electric Co Ltd   33 
 3,227  *  Hoya Corp   364 
 84,328     Hulic Co Ltd   791 
 400     Hulic Reit, Inc   530 
 250,000     Ibiden Co Ltd   8,519 
 24,476  e  Idemitsu Kosan Co Ltd   523 
 1,429     Iida Group Holdings Co Ltd   29 
 7,722,600     Infomart Corp   68,514 
 109,884     Inpex Holdings, Inc   590 
 6     Invincible Investment Corp   2 
 122,000     IR Japan Holdings Ltd   15,462 
 481  e  Isetan Mitsukoshi Holdings Ltd   3 
 4,300     Isuzu Motors Ltd   38 
 1,700     IT Holdings Corp   36 
 400     Ito En Ltd   29 
 11,469  e  Itochu Corp   294 
 1,000     Itochu Techno-Science Corp   38 
 924     Japan Airlines Co Ltd   17 
 503  e  Japan Airport Terminal Co Ltd   22 
 429,200     Japan Elevator Service Holdings Co Ltd   14,970 
 4,446     Japan Post Bank Co Ltd   35 
 13,440     Japan Post Holdings Co Ltd   92 
 2,500     Japan Post Insurance Co Ltd   39 
 3     Japan Prime Realty Investment Corp   9 
 12     Japan Real Estate Investment Corp   61 
 16     Japan Retail Fund Investment Corp   25 
 128,063     Japan Tobacco, Inc   2,336 
 58,323  *  JFE Holdings, Inc   408 
 257,978     JGC Corp   2,676 
 22,959  e  JSR Corp   546 
 1,603     JTEKT Corp   13 
 359,588     JX Holdings, Inc   1,283 
217

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

 

SHARES     COMPANY  VALUE
(000)
 
 3,286     Kajima Corp  $40 
 1,334  e  Kakaku.com, Inc   35 
 353,700  *,e  Kamakura Shinsho Ltd   3,108 
 985     Kamigumi Co Ltd   19 
 179,535     Kansai Electric Power Co, Inc   1,740 
 24,215  e  Kansai Paint Co Ltd   602 
 61,485     Kao Corp   4,616 
 1,151  e  Kawasaki Heavy Industries Ltd   16 
 13,697     KDDI Corp   344 
 700     Keihan Electric Railway Co Ltd   29 
 1,160     Keihin Electric Express Railway Co Ltd   18 
 823     Keio Corp   51 
 1,413     Keisei Electric Railway Co Ltd   40 
 36     Kenedix Realty Investment Corp   216 
 142,100     Kenedix, Inc   748 
 1,576     Keyence Corp   737 
 1,195     Kikkoman Corp   66 
 1,449     Kintetsu Corp   62 
 7,049     Kirin Brewery Co Ltd   132 
 400     Kobayashi Pharmaceutical Co Ltd   39 
 500     Kobe Bussan Co Ltd   28 
 1,000  *  Koito Manufacturing Co Ltd   51 
 7,450     Komatsu Ltd   164 
 886  e  Konami Corp   38 
 328     Kose Corp   40 
 8,898     Kubota Corp   159 
 40,875     Kuraray Co Ltd   397 
 677     Kurita Water Industries Ltd   22 
 2,700     Kyocera Corp   155 
 2,245     Kyowa Hakko Kogyo Co Ltd   64 
 27,177     Kyushu Electric Power Co, Inc   247 
 900     Kyushu Railway Co   19 
 500     Lasertec Corp   41 
 480     Lawson, Inc   23 
 300  *  LINE Corp   15 
 2,000     Lion Corp   41 
 2,564     LIXIL Group Corp   52 
 98,976     M3, Inc   6,122 
 1,888     Makita Corp   90 
 14,065     Marubeni Corp   80 
 1,609  e  Marui Co Ltd   31 
 6,496     Maruichi Steel Tube Ltd   163 
 2,615     Mazda Motor Corp   15 
 700     McDonald’s Holdings Co Japan Ltd   34 
 1,859     Mediceo Paltac Holdings Co Ltd   37 
 908     MEIJI Holdings Co Ltd   69 
 800  *,e  Mercari, Inc   37 
 3,600     Minebea Co Ltd   69 
 2,800     MISUMI Group, Inc   79 
 166,863     Mitsubishi Chemical Holdings Corp   963 
 11,422     Mitsubishi Corp   273 
 15,514     Mitsubishi Electric Corp   211 
 205,696     Mitsubishi Estate Co Ltd   3,116 
 21,580     Mitsubishi Gas Chemical Co, Inc   401 
 2,611     Mitsubishi Heavy Industries Ltd   58 
 13,011     Mitsubishi Materials Corp   256 
218

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

 

SHARES     COMPANY  VALUE
(000)
 
 408  e  Mitsubishi Motors Corp  $1 
 104,262     Mitsubishi UFJ Financial Group, Inc   416 
 3,000     Mitsubishi UFJ Lease & Finance Co Ltd   14 
 278,282     Mitsui & Co Ltd   4,782 
 22,029     Mitsui Chemicals, Inc   532 
 7,956     Mitsui Fudosan Co Ltd   138 
 654     Mitsui Fudosan Logistics Park, Inc   3,125 
 3,842     Mitsui Sumitomo Insurance Group Holdings, Inc   104 
 900     Miura Co Ltd   44 
 20,566     Mizuho Financial Group, Inc   257 
 517,225     MonotaRO Co Ltd   25,691 
 153     Mori Hills REIT Investment Corp   199 
 4,905     Murata Manufacturing Co Ltd   319 
 839     Nabtesco Corp   30 
 1,500     Nagoya Railroad Co Ltd   41 
 1,706     Namco Bandai Holdings, Inc   125 
 2,061     NEC Corp   121 
 4,100     Nexon Co Ltd   102 
 1,824     NGK Insulators Ltd   26 
 648     NGK Spark Plug Co Ltd   11 
 3,834     Nidec Corp   360 
 1,300     Nihon M&A Center, Inc   74 
 981     Nikon Corp   7 
 298,659     Nintendo Co Ltd   169,247 
 13     Nippon Building Fund, Inc   74 
 644     Nippon Express Co Ltd   38 
 872     Nippon Meat Packers, Inc   39 
 18,626     Nippon Paint Co Ltd   1,917 
 1,807     Nippon ProLogis REIT, Inc   6,094 
 400     Nippon Shinyaku Co Ltd   33 
 91,102  *  Nippon Steel Corp   860 
 584,084     Nippon Telegraph & Telephone Corp   11,925 
 1,776     Nippon Yusen Kabushiki Kaisha   31 
 14,139  e  Nissan Chemical Industries Ltd   754 
 19,527  *  Nissan Motor Co Ltd   69 
 2,031     Nisshin Seifun Group, Inc   32 
 50,545     Nissin Food Products Co Ltd   4,749 
 713     Nitori Co Ltd   148 
 19,137     Nitto Denko Corp   1,247 
 2,838     NKSJ Holdings, Inc   98 
 26,880  *  Nomura Holdings, Inc   123 
 574     Nomura Real Estate Holdings, Inc   11 
 444     Nomura Real Estate Master Fund, Inc   556 
 2,700     Nomura Research Institute Ltd   79 
 362,447     NSK Ltd   2,774 
 6,300     NTT Data Corp   81 
 9,586     NTT DoCoMo, Inc   352 
 5,096     Obayashi Corp   47 
 600     Obic Co Ltd   106 
 2,946     Odakyu Electric Railway Co Ltd   74 
 98,094     OJI Paper Co Ltd   451 
 9,968     Olympus Corp   207 
 76,255     Omron Corp   5,962 
 3,168     Ono Pharmaceutical Co Ltd   100 
 303  *  Oracle Corp Japan   33 
 20,531  e  Oriental Land Co Ltd   2,879 
219

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

 

SHARES     COMPANY  VALUE
(000)
 
 1,354,428     ORIX Corp  $16,917 
 299     Orix JREIT, Inc   460 
 3,720     Osaka Gas Co Ltd   72 
 4,322     Osaka Securities Exchange Co Ltd   121 
 1,022     Otsuka Corp   52 
 3,300     Otsuka Holdings KK   140 
 331,400     Paltac Corp   16,762 
 275,455     Panasonic Corp   2,346 
 900     Park24 Co Ltd   15 
 700  *  PeptiDream, Inc   33 
 1,100     Pigeon Corp   49 
 1,010     Pola Orbis Holdings, Inc   19 
 7,300  *  Rakuten, Inc   79 
 1,905,553     Recruit Holdings Co Ltd   75,680 
 4,507,600  *  Renesas Electronics Corp   33,084 
 17,242     Resona Holdings, Inc   59 
 6,482  e  Ricoh Co Ltd   44 
 312     Rinnai Corp   30 
 65,135     Rohm Co Ltd   5,036 
 1,540     Ryohin Keikaku Co Ltd   26 
 3,553     Santen Pharmaceutical Co Ltd   73 
 1,991  *  SBI Holdings, Inc   52 
 1,767     Secom Co Ltd   162 
 552     Sega Sammy Holdings, Inc   7 
 1,700     Seibu Holdings, Inc   18 
 3,100  e  Seiko Epson Corp   36 
 3,595     Sekisui Chemical Co Ltd   58 
 79,120     Sekisui House Ltd   1,402 
 348,900     Seria Co Ltd   14,888 
 64,286     Seven & I Holdings Co Ltd   1,997 
 700  e  Seven Bank Ltd   2 
 1,200     SG Holdings Co Ltd   62 
 2,299  *  Sharp Corp   29 
 163,498  *  SHIFT, Inc   24,520 
 2,147     Shimadzu Corp   65 
 227     Shimamura Co Ltd   22 
 592     Shimano, Inc   117 
 3,362     Shimizu Corp   25 
 77,000     Shin-Etsu Chemical Co Ltd   10,076 
 377  *  Shinsei Bank Ltd   5 
 2,290     Shionogi & Co Ltd   123 
 15,793     Shiseido Co Ltd   914 
 4,201     Shizuoka Bank Ltd   29 
 600     Showa Denko KK   11 
 463  *  SMC Corp   258 
 559,200     SMS Co Ltd   16,237 
 24,500     Softbank Corp   274 
 13,332     Softbank Group Corp   825 
 500     Sohgo Security Services Co Ltd   24 
 2,833,347     Sony Corp   217,154 
 800     Square Enix Co Ltd   53 
 1,314     Stanley Electric Co Ltd   38 
 1,760     Star Asia Investment Corp   734 
 1,100  e  Start Today Co Ltd   31 
 1,051,935     Sumco Corp   14,842 
 400     Sumisho Computer Systems Corp   22 
220

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

 

SHARES     COMPANY  VALUE
(000)
 
 188,683     Sumitomo Chemical Co Ltd  $625 
 10,165     Sumitomo Corp   123 
 1,763  e  Sumitomo Dainippon Pharma Co Ltd   23 
 7,547     Sumitomo Electric Industries Ltd   85 
 514,625     Sumitomo Heavy Industries Ltd   11,973 
 29,315     Sumitomo Metal Mining Co Ltd   909 
 2,436,391     Sumitomo Mitsui Financial Group, Inc   68,123 
 2,718     Sumitomo Mitsui Trust Holdings, Inc   72 
 2,636     Sumitomo Realty & Development Co Ltd   78 
 63     Sumitomo Rubber Industries, Inc   1 
 700     Sundrug Co Ltd   26 
 1,500     Suntory Beverage & Food Ltd   56 
 807     Suzuken Co Ltd   31 
 203,134     Suzuki Motor Corp   8,702 
 1,471     Sysmex Corp   141 
 546,995     T&D Holdings, Inc   5,392 
 1,200     Taiheiyo Cement Corp   31 
 1,493     Taisei Corp   51 
 356     Taisho Pharmaceutical Holdings Co Ltd   23 
 14,267  e  Taiyo Nippon Sanso Corp   219 
 13,411     Takeda Pharmaceutical Co Ltd   479 
 1,056     TDK Corp   115 
 201,799     TechnoPro Holdings, Inc   12,635 
 21,687     Teijin Ltd   336 
 1,202     Temp Holdings Co Ltd   20 
 5,492     Terumo Corp   219 
 594     THK Co Ltd   15 
 1,334     Tobu Railway Co Ltd   41 
 1,175     Toho Co Ltd   48 
 700     Toho Gas Co Ltd   35 
 2,913     Tohoku Electric Power Co, Inc   29 
 174,364     Tokio Marine Holdings, Inc   7,629 
 189,425  *  Tokyo Electric Power Co, Inc   521 
 1,316     Tokyo Electron Ltd   344 
 97,932     Tokyo Gas Co Ltd   2,235 
 134,100     Tokyo Tatemono Co Ltd   1,648 
 4,029     Tokyu Corp   52 
 2,400     Tokyu Fudosan Holdings Corp   10 
 1,767     Toppan Printing Co Ltd   25 
 169,246     Toray Industries, Inc   774 
 3,255     Toshiba Corp   83 
 34,021     Tosoh Corp   552 
 1,442  e  Toto Ltd   66 
 17,800     Toyo Seikan Kaisha Ltd   176 
 699     Toyo Suisan Kaisha Ltd   37 
 497     Toyoda Gosei Co Ltd   11 
 1,393     Toyota Industries Corp   88 
 1,639,653     Toyota Motor Corp   108,824 
 2,194     Toyota Tsusho Corp   62 
 1,128  *  Trend Micro, Inc   69 
 300     Tsuruha Holdings, Inc   43 
 3,407     Uni-Charm Corp   152 
 271     United Urban Investment Corp   302 
 2,230     USS Co Ltd   40 
 700     Welcia Holdings Co Ltd   31 
 1,307     West Japan Railway Co   65 
221

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

 

SHARES     COMPANY  VALUE
(000)
 
 175,800  e  Workman Co Ltd  $15,475 
 22,638     Yahoo! Japan Corp   151 
 1,004     Yakult Honsha Co Ltd   56 
 7,231     Yamada Denki Co Ltd   36 
 1,308     Yamaha Corp   63 
 2,191     Yamaha Motor Co Ltd   32 
 2,555     Yamato Transport Co Ltd   67 
 953     Yamazaki Baking Co Ltd   17 
 2,324     Yaskawa Electric Corp   91 
 2,310     Yokogawa Electric Corp   37 
 200     Yokohama Rubber Co Ltd   3 
       TOTAL JAPAN   1,400,745 
             
JORDAN - 0.0%
 1,306     Hikma Pharmaceuticals plc   44 
       TOTAL JORDAN   44 
             
KOREA, REPUBLIC OF - 1.5%
 3,284  *  Alteogen, Inc   504 
 6,145     Amorepacific Corp   857 
 1,908     Amorepacific Corp (Preference)   94 
 1,528     BGF retail Co Ltd   162 
 49,061     BS Financial Group, Inc   212 
 12,906  *  Celltrion Healthcare Co Ltd   968 
 2,995  *  Celltrion Pharm Inc   289 
 17,737  *  Celltrion, Inc   3,901 
 11,744     Cheil Communications, Inc   210 
 15,773     Cheil Industries, Inc   1,416 
 1,552     CJ CheilJedang Corp   524 
 2,858     CJ Corp   198 
 1,780     CJ O Shopping Co Ltd   216 
 4,804     Daelim Industrial Co   318 
 11,223     Daewoo International Corp   128 
 47,874     Daewoo Securities Co Ltd   346 
 7,022  *  Daewoo Shipbuilding & Marine Engineering Co Ltd   142 
 9,312     Dongbu Insurance Co Ltd   360 
 8,384     Doosan Bobcat, Inc   194 
 3,503     DuzonBIzon Co Ltd   312 
 3,928     E-Mart Co Ltd   475 
 8,738     Fila Korea Ltd   273 
 3,494     GLOVIS Co Ltd   430 
 10,580     GS Engineering & Construction Corp   218 
 10,667     GS Holdings Corp   282 
 5,056     GS Retail Co Ltd   145 
 55,309     Hana Financial Group, Inc   1,329 
 12,882     Hankook Tire Co Ltd   347 
 1,206     Hanmi Pharm Co Ltd   282 
 34,260     Hanon Systems   362 
 18,949     Hanwha Chemical Corp   622 
 7,203     Hanwha Corp   155 
 8,345  *  HLB, Inc   736 
 3,150     Honam Petrochemical Corp   528 
 5,945     Hotel Shilla Co Ltd   385 
 98,484     Hynix Semiconductor, Inc   7,060 
 14,888     Hyundai Engineering & Construction Co Ltd   386 
 6,638  *  Hyundai Heavy Industries   468 
222

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

 

SHARES     COMPANY  VALUE
(000)
 
 11,526     Hyundai Marine & Fire Insurance Co Ltd  $220 
 12,508     Hyundai Mobis   2,454 
 27,776     Hyundai Motor Co   4,231 
 6,454     Hyundai Motor Co Ltd (2nd Preference)   487 
 3,960     Hyundai Motor Co Ltd (Preference)   286 
 1,946     Hyundai Robotics Co Ltd   362 
 17,277     Hyundai Steel Co   363 
 44,557     Industrial Bank of Korea   304 
 10,558     Kakao Corp   3,283 
 21,102     Kangwon Land, Inc   388 
 72,128     KB Financial Group, Inc   2,323 
 46,923     Kia Motors Corp   1,882 
 4,742  *  KMW Co Ltd   317 
 14,582     Korea Aerospace Industries Ltd   283 
 49,661  *  Korea Electric Power Corp   865 
 1,566  *  Korea Express Co Ltd   237 
 6,214     Korea Gas Corp   130 
 6,964     Korea Investment Holdings Co Ltd   430 
 3,343     Korea Kumho Petrochemical   314 
 1,593     Korea Zinc Co Ltd   514 
 15,255  *  Korean Air Lines Co Ltd   245 
 22,050     KT&G Corp   1,557 
 131,545     LG Chem Ltd   73,424 
 1,437     LG Chem Ltd (Preference)   392 
 17,445     LG Corp   1,108 
 17,525     LG Electronics, Inc   1,373 
 1,756     LG Household & Health Care Ltd   2,167 
 407     LG Household & Health Care Ltd (Preference)   246 
 2,514     LG Innotek Co Ltd   332 
 40,327     LG Telecom Ltd   396 
 46,389  *  LG.Philips LCD Co Ltd   608 
 4,997     Lotte Corp   122 
 2,534     Lotte Shopping Co Ltd   170 
 44,264     Meritz Securities Co Ltd   123 
 22,832     Naver Corp   5,802 
 3,084     NCsoft   2,125 
 4,018  *,g  Netmarble Corp   568 
 4,235     Orion Corp/Republic of Korea   475 
 210     Ottogi Corp   102 
 5,818     Pacific Corp   242 
 1,085  *  Pearl Abyss Corp   187 
 14,002     POSCO   2,344 
 4,080     POSCO Refractories & Environment Co Ltd   292 
 3,078     S1 Corp (Korea)   231 
 3,042  *,g  Samsung Biologics Co Ltd   1,793 
 5,040     Samsung Card Co   122 
 10,586     Samsung Electro-Mechanics Co Ltd   1,255 
 3,081,085     Samsung Electronics Co Ltd   152,958 
 154,712     Samsung Electronics Co Ltd (Preference)   6,659 
 26,873  *  Samsung Engineering Co Ltd   241 
 5,905     Samsung Fire & Marine Insurance Co Ltd   920 
 91,728  *  Samsung Heavy Industries Co Ltd   417 
 13,561     Samsung Life Insurance Co Ltd   708 
 10,282     Samsung SDI Co Ltd   3,798 
 6,590     Samsung SDS Co Ltd   954 
 10,480     Samsung Securities Co Ltd   274 
223

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

 

SHARES     COMPANY  VALUE
(000)
 
 3,454     Seegene, Inc  $769 
 5,476  *  Shin Poong Pharmaceutical Co Ltd   590 
 81,676     Shinhan Financial Group Co Ltd   1,916 
 1,470     Shinsegae Co Ltd   266 
 6,728     SK C&C Co Ltd   1,136 
 10,602     SK Energy Co Ltd   1,256 
 7,508     SK Telecom Co Ltd   1,526 
 9,661     S-Oil Corp   424 
 49,431  *  STX Pan Ocean Co Ltd   144 
 9,100  *  Woongjin Coway Co Ltd   619 
 102,938     Woori Financial Group, Inc   753 
 20,185     Woori Investment & Securities Co Ltd   158 
 8,699     Yuhan Corp   478 
       TOTAL KOREA, REPUBLIC OF   320,272 
             
LUXEMBOURG - 0.0%
 6,118     ArcelorMittal   81 
 112  e  Eurofins Scientific   89 
 28,307     Reinet Investments S.C.A   491 
 1,940     SES Global S.A.   14 
       TOTAL LUXEMBOURG   675 
             
MACAU - 0.1%
 179,803     Galaxy Entertainment Group Ltd   1,216 
 20,733     Sands China Ltd   80 
 5,705,483  *,e  Wynn Macau Ltd   9,156 
       TOTAL MACAU   10,452 
             
MALAYSIA - 0.1%
 315,600     AMMB Holdings BHD   228 
 1,214,016     Bumiputra-Commerce Holdings BHD   902 
 29,700     Carlsberg Brewery-Malay BHD   148 
 718,000     Dialog Group BHD   659 
 578,300     Digi.Com BHD   562 
 26,000     Fraser & Neave Holdings BHD   201 
 336,731     Gamuda BHD   283 
 378,500     Genting BHD   291 
 40,900     Genting Plantations BHD   98 
 118,000     HAP Seng Consolidated BHD   203 
 305,100     Hartalega Holdings BHD   1,195 
 114,300     Hong Leong Bank BHD   415 
 32,500     Hong Leong Credit BHD   112 
 397,000     IHH Healthcare BHD   498 
 458,000     IOI Corp BHD   492 
 110,200     Kossan Rubber Industries   364 
 79,230     Kuala Lumpur Kepong BHD   434 
 710,407     Malayan Banking BHD   1,236 
 211,600     Malaysia Airports Holdings BHD   243 
 419,100     Maxis BHD   513 
 244,000     MISC BHD   442 
 13,100     Nestle Malaysia BHD   446 
 460,600     Petronas Chemicals Group BHD   624 
 62,900     Petronas Dagangan BHD   299 
 153,400     Petronas Gas BHD   608 
 117,880     PPB Group BHD   540 
 267,200     Press Metal BHD   331 
224

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

 

SHARES     COMPANY  VALUE
(000)
 
 535,900     Public Bank BHD  $2,027 
 131,500  *  QL Resources BHD   311 
 604,200     Resorts World BHD   303 
 298,300     RHB Capital BHD   329 
 495,700     Sime Darby BHD   298 
 374,300     Sime Darby Plantation BHD   456 
 1,153     SP Setia BHD    0^ 
 281,200  *  Supermax Corp BHD   573 
 220,200     Telekom Malaysia BHD   219 
 430,700     Tenaga Nasional BHD   1,090 
 519,443     TM International BHD   370 
 843,600     Top Glove Corp BHD   1,691 
 164,300     Westports Holdings BHD   154 
 659,200     YTL Corp BHD   107 
       TOTAL MALAYSIA   20,295 
             
MEXICO - 0.1%
 562,500     Alfa S.A. de C.V. (Class A)   349 
 6,093,600     America Movil S.A. de C.V. (Series L)   3,825 
 102,600     Becle SAB de C.V.   209 
 2,754,194     Cemex S.A. de C.V.   1,044 
 104,300     Coca-Cola Femsa SAB de C.V.   425 
 79,600     Embotelladoras Arca SAB de C.V.   345 
 598,500     Fibra Uno Administracion S.A. de C.V.   473 
 362,600     Fomento Economico Mexicano S.A. de C.V.   2,043 
 39,640     Gruma SAB de C.V.   439 
 69,200     Grupo Aeroportuario del Pacifico S.A. de C.V. (B Shares)   555 
 40,210  *  Grupo Aeroportuario del Sureste S.A. de C.V. (Class B)   467 
 299,100     Grupo Bimbo S.A. de C.V. (Series A)   560 
 86,100     Grupo Carso S.A. de C.V. (Series A1)   177 
 482,100  *  Grupo Financiero Banorte S.A. de C.V.   1,671 
 425,727  *  Grupo Financiero Inbursa S.A.   332 
 564,300     Grupo Mexico S.A. de C.V. (Series B)   1,436 
 468,000  *  Grupo Televisa S.A.   578 
 27,295     Industrias Penoles S.A. de C.V.   441 
 107,800     Infraestructura Energetica ,NV SAB de C.V.   325 
 276,300     Kimberly-Clark de Mexico S.A. de C.V. (Class A)   439 
 58,600     Megacable Holdings SAB de C.V.   169 
 199,400     Orbia Advance Corp SAB de C.V.   349 
 41,490  *  Promotora y Operadora de Infraestructura SAB de C.V.   293 
 933,300     Wal-Mart de Mexico SAB de C.V.   2,239 
       TOTAL MEXICO   19,183 
             
NETHERLANDS - 1.9%
 3,051  *,g  ABN AMRO Group NV (ADR)   26 
 18,257  *,g  Adyen NV   33,675 
 12,141     Aegon NV   31 
 1,645     Akzo Nobel NV   166 
 3,821  *  Altice NV (Class A)   18 
 381  *  Argenx SE   101 
 344,012     ASML Holding NV   127,069 
 1,469     DSM NV   242 
 161,119  g  Euronext NV   20,183 
 1,087     EXOR NV   59 
 982     Heineken Holding NV   77 
 36,409     Heineken NV   3,241 
225

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

 

SHARES     COMPANY  VALUE
(000)
 
 15,544,753     ING Groep NV  $110,941 
 148,337  *,g  Just Eat Takeaway   16,603 
 155,179     Koninklijke Ahold Delhaize NV   4,587 
 937,651     Koninklijke KPN NV   2,200 
 76,586     Koninklijke Philips Electronics NV   3,616 
 703     Koninklijke Vopak NV   40 
 2,458     NN Group NV   92 
 562,454     NXP Semiconductors NV   70,200 
 4,154  *  Prosus NV   383 
 1,196     Randstad Holdings NV   62 
 660,546     Royal Dutch Shell plc (A Shares)   8,246 
 31,604     Royal Dutch Shell plc (B Shares)   383 
 10,716  *,e,g  Takeaway.com Holding BV   1,200 
 2,327     Wolters Kluwer NV   198 
       TOTAL NETHERLANDS   403,639 
             
NEW ZEALAND - 0.1%
 6,147  *  a2 Milk Co Ltd   63 
 10,537     Auckland International Airport Ltd   51 
 522,549     Fisher & Paykel Healthcare Corp   11,533 
 12,530     Meridian Energy Ltd   41 
 6,857     Mighty River Power Ltd   23 
 2,423     Ryman Healthcare Ltd   23 
 13,954     Telecom Corp of New Zealand Ltd   43 
       TOTAL NEW ZEALAND   11,777 
             
NORWAY - 0.1%
 1,328,063  e  Aker BP ASA   20,761 
 8,086     DNB NOR Holding ASA   113 
 355,584     Equinor ASA   5,038 
 146,806     Gjensidige Forsikring BA   2,979 
 3,613     Mowi ASA   64 
 8,727     Norsk Hydro ASA   24 
 6,173     Orkla ASA   62 
 945     Schibsted ASA (B Shares)   38 
 6,155     Telenor ASA   103 
 1,775     Yara International ASA   68 
       TOTAL NORWAY   29,250 
             
PAKISTAN - 0.0%
 70,800     Habib Bank Ltd   56 
 52,200     MCB Bank Ltd   55 
 219,956     Oil & Gas Development Co Ltd   137 
       TOTAL PAKISTAN   248 
             
PERU - 0.0%
 41,400     Cia de Minas Buenaventura S.A. (ADR) (Series B)   506 
 11,900     Credicorp Ltd (NY)   1,475 
 15,507     Southern Copper Corp (NY)   702 
       TOTAL PERU   2,683 
             
PHILIPPINES - 0.1%
 374,260     Aboitiz Equity Ventures, Inc   358 
 305,200     Aboitiz Power Corp   161 
 2,960  *  Altus San Nicolas Corp   1 
226

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

 

SHARES     COMPANY  VALUE
(000)
 
 53,380     Ayala Corp  $763 
 1,543,570     Ayala Land, Inc   950 
 356,230     Banco de Oro Universal Bank   636 
 161,860     Bank of the Philippine Islands   214 
 6,030     Globe Telecom, Inc   259 
 18,674     GT Capital Holdings, Inc   149 
 185,150     International Container Term Services, Inc   422 
 513,910     JG Summit Holdings (Series B)   640 
 88,420     Jollibee Foods Corp   265 
 40,890     Manila Electric Co   229 
 2,159,927  *  Megaworld Corp   133 
 2,876,900     Metro Pacific Investments Corp   208 
 360,863     Metropolitan Bank & Trust   286 
 16,040     PLDT, Inc   441 
 180,500     Puregold Price Club, Inc   183 
 376,600     Robinsons Land Corp   111 
 5,826,950     Robinsons Retail Holdings, Inc   7,823 
 43,860     SM Investments Corp   800 
 1,847,800     SM Prime Holdings   1,126 
 161,450     Universal Robina   448 
       TOTAL PHILIPPINES   16,606 
             
POLAND - 0.0%
 32,424  *  Bank Pekao S.A.   422 
 6,564  *  Bank Zachodni WBK S.A.   242 
 2,530     BRE Bank S.A.   109 
 11,910  *  CD Projekt Red S.A.   1,290 
 51,708  *  Cyfrowy Polsat S.A.   362 
 8,729  *,g  Dino Polska S.A.   513 
 18,233     Grupa Lotos S.A.   163 
 24,397  *  KGHM Polska Miedz S.A.   747 
 244  *  LPP S.A.   415 
 340,734     Polish Oil & Gas Co   446 
 166,946  *  Polska Grupa Energetyczna S.A.   277 
 57,186     Polski Koncern Naftowy Orlen S.A.   679 
 158,495     Powszechna Kasa Oszczednosci Bank Polski S.A.   870 
 113,820  *  Powszechny Zaklad Ubezpieczen S.A.   730 
 119,430  *  Telekomunikacja Polska S.A.   211 
       TOTAL POLAND   7,476 
             
PORTUGAL - 0.1%
 1,271,560     Energias de Portugal S.A.   6,252 
 4,977     Galp Energia SGPS S.A.   46 
 844,840     Jeronimo Martins SGPS S.A.   13,586 
       TOTAL PORTUGAL   19,884 
             
QATAR - 0.1%
 388,110     Barwa Real Estate Co   374 
 360,336     Commercial Bank of Qatar QSC   402 
 334,939     Industries Qatar QSC   910 
 676,499     Masraf Al Rayan   775 
 834,166     Mesaieed Petrochemical Holding Co   476 
 155,377     Ooredoo QSC   286 
 99,508     Qatar Electricity & Water Co   463 
 88,467     Qatar Fuel QSC   431 
 148,743     Qatar International Islamic Bank QSC   343 
227

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

 

SHARES     COMPANY  VALUE
(000)
 
 209,881     Qatar Islamic Bank SAQ  $952 
 825,093     Qatar National Bank   4,131 
       TOTAL QATAR   9,543 
             
ROMANIA - 0.0%
 78,688     NEPI Rockcastle plc   324 
       TOTAL ROMANIA   324 
             
RUSSIA - 0.8%
 1,959     Evraz plc   9 
 75,868     Gazprom (ADR)   331 
 1,058,416     Gazprom OAO (ADR)   4,606 
 81,297     LUKOIL PJSC (ADR)   4,667 
 68,766  *  Magnit PJSC (GDR)   1,026 
 120,417     MMC Norilsk Nickel PJSC (ADR)   2,908 
 92,500     Mobile TeleSystems (ADR)   808 
 18,073     Novatek PJSC (GDR)   2,476 
 25,784     Novolipetsk Steel PJSC (GDR)   571 
 29,387     PhosAgro PJSC (GDR)   354 
 45,494     Polymetal International plc (ADR)   991 
 11,206     Polyus PJSC (GDR)   1,181 
 1,001  *  Polyus PJSC (GDR)   105 
 215,327  *  Rosneft Oil Co PJSC (GDR)   1,059 
 3,593,355  *  Sberbank of Russia (ADR)   41,934 
 45,973     Severstal (GDR)   584 
 286,730     Surgutneftegaz (ADR) (London)   1,275 
 46,551     Tatneft PJSC (ADR)   1,642 
 312,290  *  VTB Bank PJSC (GDR) Tradegate   260 
 22,766  *  X5 Retail Group NV (GDR)   842 
 1,555,241  *  Yandex NV   101,480 
       TOTAL RUSSIA   169,109 
             
SAUDI ARABIA - 0.2%
 8,156     Abdullah Al Othaim Markets Co   282 
 19,222     Advanced Petrochemical Co   303 
 217,095     Al Rajhi Bank   3,805 
 160,882  *  Alinma Bank   702 
 45,025     Almarai Co JSC   637 
 106,598     Arab National Bank   579 
 66,047     Bank AlBilad   426 
 75,968     Bank Al-Jazira   284 
 110,032     Banque Saudi Fransi   951 
 10,839  *  Bupa Arabia for Cooperative Insurance Co   355 
 11,195  *  Co for Cooperative Insurance   260 
 112,453  *  Dar Al Arkan Real Estate Development Co   282 
 71,429  *  Emaar Economic City   192 
 66,889  *  Etihad Etisalat Co   510 
 10,630     Jarir Marketing Co   532 
 266,561     National Commercial Bank   2,648 
 72,508  *  National Industrialization Co   257 
 50,635  *  Rabigh Refining & Petrochemical Co   211 
 249,312     Riyad Bank   1,243 
 74,984     Sahara International Petrochemical Co   331 
 181,442     Samba Financial Group   1,305 
 6,941     Saudi Airlines Catering Co   153 
 37,585     Saudi Arabian Fertilizer Co   822 
228

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

 

SHARES     COMPANY  VALUE
(000)
 
 79,733  *  Saudi Arabian Mining Co  $892 
 411,250  g  Saudi Arabian Oil Co   3,939 
 163,221     Saudi Basic Industries Corp   3,855 
 133,778     Saudi British Bank   904 
 14,834     Saudi Cement Co   230 
 164,097     Saudi Electricity Co   753 
 44,226     Saudi Industrial Investment Group   275 
 151,206  *  Saudi Kayan Petrochemical Co   472 
 108,811     Saudi Telecom Co   2,918 
 46,681     Savola Group   598 
 45,740     Yanbu National Petrochemical Co   717 
       TOTAL SAUDI ARABIA   32,623 
             
SINGAPORE - 0.1%
 330,648     Ascendas REIT   791 
 35,700  g  BOC Aviation Ltd   245 
 30,085     CapitaCommercial Trust   36 
 1,851,496  e  CapitaLand Ltd   3,702 
 28,417  e  CapitaMall Trust   40 
 5,000  e  City Developments Ltd   28 
 15,322  e  DBS Group Holdings Ltd   225 
 60,692     Genting Singapore Ltd   30 
 66     Jardine Cycle & Carriage Ltd   1 
 15,768     Keppel Corp Ltd   52 
 20,600     Mapletree Commercial Trust   30 
 20,600     Mapletree Logistics Trust   31 
 568,112     Oversea-Chinese Banking Corp   3,533 
 13,960  e  Singapore Airlines Ltd   36 
 370,243  e  Singapore Exchange Ltd   2,497 
 15,107     Singapore Technologies Engineering Ltd   38 
 1,200     Singapore Telecommunications Ltd   2 
 992,691     Singapore Telecommunications Ltd   1,554 
 7,200     Suntec Real Estate Investment Trust   8 
 232,643     United Overseas Bank Ltd   3,277 
 5,631     UOL Group Ltd   28 
 1,800     Venture Corp Ltd   25 
       TOTAL SINGAPORE   16,209 
             
SOUTH AFRICA - 0.2%
 125,663     Absa Group Ltd   666 
 10,391     Anglo American Platinum Ltd   719 
 10,452     Anglo American plc (London)   253 
 72,423  *  Aspen Pharmacare Holdings Ltd   517 
 63,868     Bid Corp Ltd   983 
 54,627     Bidvest Group Ltd   449 
 12,857     Capitec Bank Holdings Ltd   792 
 45,391     Clicks Group Ltd   602 
 70,549     Discovery Holdings Ltd   536 
 44,778     Exxaro Resources Ltd   332 
 839,731     FirstRand Ltd   2,061 
 162,541     Gold Fields Ltd   1,988 
 583,511     Growthpoint Properties Ltd   427 
 101,873  *  Harmony Gold Mining Co Ltd   539 
 150,167  e  Impala Platinum Holdings Ltd   1,305 
 12,518     Kumba Iron Ore Ltd   370 
 272,718     Life Healthcare Group Holdings Pte Ltd   277 
229

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

 

SHARES     COMPANY  VALUE
(000)
 
 163,841     Momentum Metropolitan Holdings  $152 
 48,652     Mr Price Group Ltd   381 
 318,068  e  MTN Group Ltd   1,067 
 85,252     MultiChoice Group Ltd   492 
 79,753  *  Naspers Ltd (N Shares)   14,086 
 69,259     Nedbank Group Ltd   414 
 69,010  *  Northam Platinum Ltd   701 
 151,139  g  Pepkor Holdings Ltd   101 
 137,081     Rand Merchant Investment Holdings Ltd   238 
 94,868     Remgro Ltd   530 
 333,483     Sanlam Ltd   1,028 
 106,455  *  Sasol Ltd   819 
 93,425  e  Shoprite Holdings Ltd   762 
 413,029     Sibanye Stillwater Ltd   1,146 
 34,624     Spar Group Ltd   392 
 231,337     Standard Bank Group Ltd   1,486 
 31,314     Tiger Brands Ltd   357 
 116,989     Vodacom Group Pty Ltd   858 
 200,901     Woolworths Holdings Ltd   421 
       TOTAL SOUTH AFRICA   38,247 
             
SPAIN - 0.4%
 2,100     ACS Actividades de Construccion y Servicios S.A.   48 
 575  g  Aena S.A.   80 
 272,564     Amadeus IT Holding S.A.   15,137 
 56,833     Banco Bilbao Vizcaya Argentaria S.A.   158 
 141,668     Banco Santander S.A. (AQXE)   264 
 4,511     Bankinter S.A.   19 
 29,948     CaixaBank S.A.   64 
 2,697  g  Cellnex Telecom SAU   164 
 9,131     Corp Mapfre S.A.   14 
 1,874     Enagas   43 
 344,696     Endesa S.A.   9,220 
 4,133     Ferrovial S.A.   100 
 2,522  e  Grifols S.A.   73 
 3,966,345     Iberdrola S.A.   48,820 
 168,841     Industria De Diseno Textil S.A.   4,671 
 108,528  *,†,e  Let’s GOWEX S.A.   1 
 37,638     Naturgy Energy Group S.A.   755 
 47,674     Red Electrica Corp S.A.   894 
 12,689     Repsol YPF S.A.   86 
 1,864     Siemens Gamesa Renewable Energy   50 
 590,985     Telefonica S.A.   2,025 
       TOTAL SPAIN   82,686 
             
SWEDEN - 0.6%
 2,562     Alfa Laval AB   57 
 638,656     Assa Abloy AB   14,932 
 5,724     Atlas Copco AB (A Shares)   273 
 3,325     Atlas Copco AB (B Shares)   139 
 2,205     Autoliv, Inc   161 
 2,248     Boliden AB   67 
 1,659     Electrolux AB (Series B)   39 
 2,831     Epiroc AB   39 
 5,617     Epiroc AB (Class A)   81 
 1,630     EQT AB   32 
230

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

 

SHARES     COMPANY  VALUE
(000)
 
 1,274,878     Ericsson (LM) (B Shares)  $13,951 
 5,175     Essity AB   175 
 1,072  g  Evolution Gaming Group AB   71 
 32,000  *  Fastighets AB Balder   1,621 
 6,850     Hennes & Mauritz AB (B Shares)   118 
 263,744     Hexagon AB (B Shares)   19,921 
 3,370     Husqvarna AB (B Shares)   37 
 986  e  ICA Gruppen AB   50 
 1,600     Industrivarden AB   42 
 498,177  e  Intrum Justitia AB   12,209 
 998  e  Investment AB Latour   23 
 3,882     Investor AB (B Shares)   254 
 2,063  e  Kinnevik AB   84 
 789     Lundbergs AB (B Shares)   39 
 132,180  e  Lundin Petroleum AB   2,621 
 2,596     Nibe Industrier AB   67 
 457,490     Sandvik AB   8,946 
 17,787  *,e  SAS AB   8 
 3,149     Securitas AB (B Shares)   48 
 640,321     Skandinaviska Enskilda Banken AB (Class A)   5,687 
 2,763     Skanska AB (B Shares)   58 
 3,168     SKF AB (B Shares)   65 
 5,105     Svenska Cellulosa AB (B Shares)   70 
 13,257     Svenska Handelsbanken AB   111 
 7,715     Swedbank AB (A Shares)   121 
 562,433     Swedish Match AB   45,988 
 5,018  e  Tele2 AB (B Shares)   71 
 20,910     TeliaSonera AB   85 
 12,683     Volvo AB (B Shares)   244 
       TOTAL SWEDEN   128,605 
             
SWITZERLAND - 3.0%
 344,325     ABB Ltd   8,754 
 1,560     Adecco S.A.   82 
 237,002     Alcon, Inc   13,437 
 375     Baloise Holding AG.   55 
 151     Banque Cantonale Vaudoise   15 
 22     Barry Callebaut AG.   49 
 64,544     Cie Financiere Richemont S.A.   4,334 
 2,002     Clariant AG.   40 
 1,989     Coca-Cola HBC AG.   49 
 6,362,224     Credit Suisse Group   63,512 
 67  e  EMS-Chemie Holding AG.   60 
 316     Geberit AG.   187 
 3,458     Givaudan S.A.   14,931 
 4,462     Holcim Ltd   203 
 1,909     Julius Baer Group Ltd   81 
 460     Kuehne & Nagel International AG.   89 
 2     Lindt & Spruengli AG. (Registered)   178 
 1,401     Logitech International S.A.   109 
 270,906     Lonza Group AG.   167,186 
 599,371     Nestle S.A.   71,332 
 184,874     Novartis AG.   16,052 
 159     Partners Group   146 
 5,000     PSP Swiss Property AG.   604 
 573,151     Roche Holding AG.   196,327 
231

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

 

SHARES     COMPANY  VALUE
(000)
 
 347     Schindler Holding AG.  $95 
 151     Schindler Holding AG. (Registered)   41 
 52     SGS S.A.   139 
 1,208     Sika AG.   297 
 467  *  Sonova Holdings AG   118 
 758,933  e  STMicroelectronics NV   23,277 
 88     Straumann Holding AG.   89 
 1,731     Swatch Group AG. (Registered)   78 
 272     Swiss Life Holding   103 
 5,764     Swiss Prime Site AG.   524 
 2,511     Swiss Re Ltd   186 
 220     Swisscom AG.   117 
 565     Temenos Group AG.   76 
 171,189     UBS Group AG   1,913 
 458     Vifor Pharma AG.   62 
 40,310  *  Zur Rose Group AG.   9,610 
 78,454     Zurich Insurance Group AG   27,358 
       TOTAL SWITZERLAND   621,895 
             
TAIWAN - 2.1%
 95,000     Accton Technology Corp   735 
 570,000     Acer, Inc   491 
 70,391     Advantech Co Ltd   712 
 579,000     ASE Industrial Holding Co Ltd   1,192 
 410,000     Asia Cement Corp   591 
 5,000     ASMedia Technology, Inc   253 
 136,000     Asustek Computer, Inc   1,197 
 1,424,000  *  AU Optronics Corp   555 
 116,189     Catcher Technology Co Ltd   734 
 1,487,412     Cathay Financial Holding Co Ltd   1,991 
 230,707     Chailease Holding Co Ltd   1,057 
 905,350     Chang Hwa Commercial Bank   545 
 331,000     Cheng Shin Rubber Industry Co Ltd   424 
 112,335     Chicony Electronics Co Ltd   328 
 2,362,000     China Development Financial Holding Corp   699 
 463,250     China Life Insurance Co Ltd (Taiwan)   320 
 2,234,000     China Steel Corp   1,582 
 3,294,000     Chinatrust Financial Holding Co   2,105 
 685,000     Chunghwa Telecom Co Ltd   2,532 
 816,000     Compal Electronics, Inc   540 
 929,727     Dadi Early-Childhood Education Group Ltd   5,792 
 354,000     Delta Electronics, Inc   2,324 
 2,019,087     E.Sun Financial Holding Co Ltd   1,798 
 37,000     Eclat Textile Co Ltd   463 
 401,078     Eva Airways Corp   148 
 424,731  *  Evergreen Marine Corp Tawain Ltd   234 
 572,000     Far Eastern Textile Co Ltd   502 
 290,000     Far EasTone Telecommunications Co Ltd   612 
 73,040     Feng TAY Enterprise Co Ltd   441 
 1,844,530     First Financial Holding Co Ltd   1,316 
 674,000     Formosa Chemicals & Fibre Corp   1,587 
 226,000     Formosa Petrochemical Corp   627 
 727,000     Formosa Plastics Corp   1,986 
 156,000     Formosa Taffeta Co Ltd   169 
 167,000     Foxconn Technology Co Ltd   299 
 1,252,000     Fubon Financial Holding Co Ltd   1,822 
232

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

 

SHARES     COMPANY  VALUE
(000)
 
 1,809,600     Fuhwa Financial Holdings Co Ltd  $1,120 
 56,000     Giant Manufacturing Co Ltd   531 
 42,000     Globalwafers Co Ltd   562 
 140,800     Highwealth Construction Corp   210 
 42,107     Hiwin Technologies Corp   418 
 2,349,000     Hon Hai Precision Industry Co, Ltd   6,315 
 1,934,278     Hota Industrial Manufacturing Co Ltd   6,390 
 54,000     Hotai Motor Co Ltd   1,209 
 1,482,281     Hua Nan Financial Holdings Co Ltd   909 
 1,510,000     InnoLux Display Corp   493 
 475,000     Inventec Co Ltd   370 
 18,604     Largan Precision Co Ltd   2,179 
 398,000     Lite-On Technology Corp   637 
 279,242     MediaTek, Inc   5,917 
 1,946,000     Mega Financial Holding Co Ltd   1,878 
 126,000     Micro-Star International Co Ltd   582 
 973,000     Nan Ya Plastics Corp   2,011 
 197,000     Nanya Technology Corp   396 
 30,000     Nien Made Enterprise Co Ltd   358 
 107,000     Novatek Microelectronics Corp Ltd   987 
 343,000     Pegatron Technology Corp   762 
 27,000     Phison Electronics Corp   249 
 415,000     Pou Chen Corp   377 
 127,000     Powertech Technology, Inc   382 
 102,000     President Chain Store Corp   928 
 540,000     Quanta Computer, Inc   1,418 
 89,000     Realtek Semiconductor Corp   1,141 
 155,100     Ruentex Development Co Ltd   209 
 631,999     Shanghai Commercial & Savings Bank Ltd   853 
 1,957,622     Shin Kong Financial Holding Co Ltd   547 
 1,905,300     SinoPac Financial Holdings Co Ltd   718 
 75,000     Standard Foods Corp   158 
 251,000     Synnex Technology International Corp   360 
 1,829,089     Taishin Financial Holdings Co Ltd   814 
 970,417     Taiwan Business Bank   322 
 911,192     Taiwan Cement Corp   1,311 
 1,686,945     Taiwan Cooperative Financial Holding   1,142 
 351,000     Taiwan High Speed Rail Corp   385 
 298,000     Taiwan Mobile Co Ltd   996 
 21,703,500     Taiwan Semiconductor Manufacturing Co Ltd   326,509 
 130,000     Taiwan Semiconductor Manufacturing Co Ltd (ADR)   10,539 
 872,000     Uni-President Enterprises Corp   1,889 
 2,191,000     United Microelectronics Corp   2,161 
 170,000     Vanguard International Semiconductor Corp   569 
 45,000     Walsin Technology Corp   242 
 65,000     Win Semiconductors Corp   648 
 505,000     Winbond Electronics Corp   246 
 483,690     Wistron Corp   502 
 15,000     Wiwynn Corp   341 
 289,640     WPG Holdings Co Ltd   391 
 60,339     Yageo Corp   741 
 97,000     Zhen Ding Technology Holding Ltd   426 
       TOTAL TAIWAN   430,451 
             
TANZANIA, UNITED REPUBLIC OF - 0.0%
 74,326     AngloGold Ashanti Ltd   1,944 
       TOTAL TANZANIA, UNITED REPUBLIC OF   1,944 
233

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

 

SHARES     COMPANY  VALUE
(000)
 
THAILAND - 0.1%
 209,500     Advanced Info Service PCL (Foreign)  $1,135 
 817,300     Airports of Thailand PCL (Foreign)   1,464 
 1,216,900     Asset World Corp PCL   135 
 157,100     B Grimm Power PCL   210 
 104,700     Bangkok Bank PCL (Foreign)   319 
 356,100     Bangkok Commercial Asset Management PCL   225 
 1,770,900     Bangkok Dusit Medical Services PCL (Foreign)   1,095 
 1,335,800     Bangkok Expressway & Metro PCL   363 
 219,100     Berli Jucker PCL   255 
 1,335,390     BTS Group Holdings PCL   400 
 78,500     Bumrungrad Hospital PCL (Foreign)   237 
 417,300     Central Pattana PCL (Foreign)   563 
 337,175     Central Retail Corp PCL   278 
 711,300     Charoen Pokphand Foods PCL   630 
 1,030,200     CP Seven Eleven PCL (Foreign)   1,965 
 53,100     Electricity Generating PCL   315 
 284,900     Energy Absolute PCL (Foreign)   355 
 137,900     Global Power Synergy Co Ltd (Foreign)   251 
 429,930     Gulf Energy Development PCL   415 
 1,067,500     Home Product Center PCL (Foreign)   487 
 328,400     Indorama Ventures PCL (Foreign)   220 
 422,000     Intouch Holdings PCL (Class F)   689 
 2,186,800     IRPC PCL (Foreign)   133 
 325,600     Kasikornbank PCL (Foreign)   793 
 598,300     Krung Thai Bank PCL (Foreign)   168 
 141,600     Krungthai Card PCL   157 
 1,468,000     Land and Houses PCL Co Reg   316 
 583,900     Minor International PCL (Foreign)   369 
 134,600     Muangthai Capital PCL   211 
 138,600     Osotspa PCL   154 
 297,500     PTT Exploration & Production PCL (Foreign)   744 
 384,400     PTT Global Chemical PCL (Foreign)   480 
 2,029,300     PTT PCL (Foreign)   2,088 
 148,300     Ratch Group PCL   236 
 146,000     Siam Cement PCL (Foreign)   1,487 
 157,600     Siam Commercial Bank PCL (Foreign)   325 
 136,600     Srisawad Corp PCL   212 
 245,400     Thai Oil PCL (Foreign)   249 
 599,400     Thai Union Group PCL   266 
 4,835,384     TMB Bank PCL (Foreign)   137 
 122,900     Total Access Communication PCL (Foreign)   126 
 2,248,300     True Corp PCL (Foreign)   221 
       TOTAL THAILAND   20,878 
             
TURKEY - 0.0%
 551,907  *  Akbank TAS   364 
 37,623     Anadolu Efes Biracilik Ve Malt Sanayii AS   100 
 125,082     Aselsan Elektronik Sanayi Ve Ticaret AS   313 
 79,417     BIM Birlesik Magazalar AS   712 
 264,121     Eregli Demir ve Celik Fabrikalari TAS   324 
 12,638     Ford Otomotiv Sanayi AS   143 
 174,450     Haci Omer Sabanci Holding AS   187 
 143,217     KOC Holding AS   271 
234

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

 

SHARES     COMPANY  VALUE
(000)
 
 27,026  *  Tupras Turkiye Petrol Rafine  $277 
 80,025  *  Turk Hava Yollari   108 
 256,045  *  Turk Sise ve Cam Fabrikalari AS   243 
 210,733     Turkcell Iletisim Hizmet AS   411 
 392,260  *  Turkiye Garanti Bankasi AS   359 
 300,880  *  Turkiye Is Bankasi (Series C)   208 
 551,174  *  Yapi ve Kredi Bankasi   152 
       TOTAL TURKEY   4,172 
             
UNITED ARAB EMIRATES - 0.0%
 531,400     Abu Dhabi Commercial Bank PJSC   820 
 686,451     Aldar Properties PJSC   379 
 325,077     Dubai Islamic Bank PJSC   383 
 499,758  *  Emaar Malls Group PJSC   205 
 627,507  *  Emaar Properties PJSC   482 
 474,728     Emirates NBD Bank PJSC   1,387 
 321,032     Emirates Telecommunications Group Co PJSC   1,459 
 504,658     National Bank of Abu Dhabi PJSC   1,557 
 5,358  *,†  NMC Health plc    0^ 
       TOTAL UNITED ARAB EMIRATES   6,672 
             
UNITED KINGDOM - 4.1%
 8,292     3i Group plc   107 
 1,520     Admiral Group plc   51 
 1,434,367     Ashtead Group plc   51,654 
 409,557     Associated British Foods plc   9,860 
 1,026,455     AstraZeneca plc   112,155 
 9,717  g  Auto Trader Group plc   71 
 432     Aveva Group plc   27 
 33,490     Aviva plc   124 
 27,412     BAE Systems plc   170 
 1,292,477     Barclays plc   1,631 
 8,012     Barratt Developments plc   49 
 1,095,538     Beazley plc   4,337 
 1,015     Berkeley Group Holdings plc   55 
 65,000     Big Yellow Group plc   871 
 3,306,739  *  boohoo.com plc   15,964 
 1,207,918     BP plc   3,493 
 173,647     BP plc (ADR)   3,032 
 389,472     British American Tobacco plc   13,971 
 156,771     British Land Co plc   684 
 75,803     BT Group plc   96 
 2,870     Bunzl plc   93 
 3,400     Burberry Group plc   68 
 23,043     CK Hutchison Holdings Ltd   140 
 8,566     CNH Industrial NV   66 
 56,712     Coca-Cola European Partners plc (Class A)   2,201 
 179,495     Compass Group plc   2,696 
 1,099     Croda International plc   89 
 987     DCC plc   76 
 430,250     Dechra Pharmaceuticals plc   17,890 
 20,000     Derwent London plc   662 
 457,525     Diageo plc   15,715 
 9,834     Direct Line Insurance Group plc   34 
 2,641,483     Electrocomponents plc   24,212 
 7,742     Experian Group Ltd   291 
235

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

 

SHARES     COMPANY  VALUE
(000)
 
 562,363     Fevertree Drinks plc  $16,806 
 9,360     Fiat DaimlerChrysler Automobiles NV   115 
 413,399     GlaxoSmithKline plc   7,750 
 100,000     Great Portland Estates plc   772 
 4,775     GVC Holdings plc   60 
 3,235     Halma plc   98 
 2,670     Hargreaves Lansdown plc   54 
 173,592     HSBC Holdings plc   679 
 8,071     Imperial Tobacco Group plc   143 
 187,662     Informa plc   910 
 1,480     InterContinental Hotels Group plc   78 
 1,376     Intertek Group plc   112 
 13,835     J Sainsbury plc   34 
 4,403     JD Sports Fashion plc   46 
 1,622     Johnson Matthey plc   49 
 21,154     Kingfisher plc   81 
 115,099  e  Land Securities Group plc   775 
 50,865     Legal & General Group plc   124 
 197,110  *  Liberty Global plc (Class A)   4,141 
 9,272  *  Liberty Global plc (Class C)   190 
 164,389     Linde plc   39,146 
 615,733     Linde plc (Xetra)   145,578 
 140,043,966     Lloyds TSB Group plc   47,542 
 241,412     London Stock Exchange Group plc   27,694 
 2,931,749     M&G plc   6,026 
 3,745,647     Man Group plc   5,553 
 3,100,000     Marks & Spencer Group plc   3,890 
 35,840     Melrose Industries plc   53 
 31,035     Mondi plc   656 
 29,917     National Grid plc   344 
 19,869     Next plc   1,523 
 3,896  *  Ocado Ltd   138 
 835,648     Old Mutual Ltd   515 
 5,676  e  Pearson plc   40 
 2,719     Persimmon plc   87 
 1,261,348     Prudential plc   18,098 
 87,984     Reckitt Benckiser Group plc   8,579 
 438,995     RELX plc   9,773 
 157,398     RELX plc (London)   3,503 
 15,818     Rentokil Initial plc   109 
 1,752,086  e  Rolls-Royce Group plc   2,909 
 38,858     Royal Bank of Scotland Group plc   53 
 8,094     RSA Insurance Group plc   47 
 80,000     Safestore Holdings plc   804 
 9,295     Sage Group plc   86 
 1,247     Schroders plc   43 
 128,861     Scottish & Southern Energy plc   2,006 
 140,145     Segro plc   1,684 
 1,959     Severn Trent plc   62 
 7,454     Smith & Nephew plc   146 
 3,971     Smiths Group plc   70 
 628     Spirax-Sarco Engineering plc   90 
 5,382     St. James’s Place plc   65 
 22,848     Standard Chartered plc   105 
 22,923     Standard Life Aberdeen plc   67 
 24,640     Taylor Wimpey plc   35 
236

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

 

SHARES     COMPANY  VALUE
(000)
 
 26,220,194     Tesco plc  $71,930 
 12,667,981  *  THG Holdings Ltd   97,783 
 5,028,907     Tritax Big Box REIT plc   10,043 
 329,212     Unilever NV   19,992 
 248,086     Unilever plc   15,295 
 5,641     United Utilities Group plc   62 
 5,862,410     Vodafone Group plc   7,770 
 1,544     Whitbread plc   42 
 18,190     WM Morrison Supermarkets plc   40 
 157,280     WPP plc   1,235 
       TOTAL UNITED KINGDOM   866,963 
             
UNITED STATES - 55.6%
 37,010     3M Co   5,928 
 3,399     A.O. Smith Corp   179 
 1,653,514     Abbott Laboratories   179,952 
 1,568,433     AbbVie, Inc   137,379 
 8,106  *  Abiomed, Inc   2,246 
 90,109     Accenture plc   20,364 
 546,795     Activision Blizzard, Inc   44,263 
 49,586  *  Adobe, Inc   24,318 
 1,600     Advance Auto Parts, Inc   246 
 2,057,283  *  Advanced Micro Devices, Inc   168,677 
 15,561     AES Corp   282 
 16,415     Aflac, Inc   597 
 23,484     Agilent Technologies, Inc   2,370 
 13,605     AGNC Investment Corp   189 
 15,000     Agree Realty Corp   955 
 26,802     Air Products & Chemicals, Inc   7,983 
 3,921  *  Akamai Technologies, Inc   433 
 61,535     Albemarle Corp   5,494 
 28,550     Alexandria Real Estate Equities, Inc   4,568 
 5,334  *  Alexion Pharmaceuticals, Inc   610 
 16,808  *  Align Technology, Inc   5,502 
 8,507     Alleghany Corp   4,427 
 441,287  *  Allegheny Technologies, Inc   3,848 
 35,421     Allegion plc   3,504 
 26,436     Alliant Energy Corp   1,365 
 142,918     Allstate Corp   13,454 
 9,433     Ally Financial, Inc   236 
 25,515  *  Alnylam Pharmaceuticals, Inc   3,715 
 64,485  *  Alphabet, Inc (Class A)   94,509 
 151,239  *  Alphabet, Inc (Class C)   222,261 
 23,128  *  Altice USA, Inc   601 
 216,608     Altria Group, Inc   8,370 
 171,990  *  Amazon.com, Inc   541,550 
 38,052     Amcor plc   420 
 236     Amerco, Inc   84 
 5,966     Ameren Corp   472 
 148,676     American Electric Power Co, Inc   12,151 
 798,787     American Express Co   80,078 
 2,142     American Financial Group, Inc   143 
 66,000     American Homes 4 Rent   1,880 
 270,723     American International Group, Inc   7,453 
 120,430     American Tower Corp   29,112 
 4,377     American Water Works Co, Inc   634 
237

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

 

SHARES     COMPANY  VALUE
(000)
 
 65,000     Americold Realty Trust  $2,324 
 2,954     Ameriprise Financial, Inc   455 
 3,693     AmerisourceBergen Corp   358 
 5,543     Ametek, Inc   551 
 100,826     Amgen, Inc   25,626 
 7,152     Amphenol Corp (Class A)   774 
 35,848     Analog Devices, Inc   4,185 
 36,037     Annaly Capital Management, Inc   257 
 2,069  *  Ansys, Inc   677 
 28,833     Anthem, Inc   7,744 
 23,873     Aon plc   4,925 
 4,145     Apollo Global Management, Inc   185 
 6,033,998  d,n  Apple, Inc   698,797 
 259,982     Applied Materials, Inc   15,456 
 247,160     Aptiv plc   22,660 
 5,959     ARAMARK Holdings Corp   158 
 9,787  *  Arch Capital Group Ltd   286 
 13,418     Archer-Daniels-Midland Co   624 
 202  *  Arconic Corp   4 
 1,401  *  Arista Networks, Inc   290 
 1,814  *  Arrow Electronics, Inc   143 
 4,586     Arthur J. Gallagher & Co   484 
 1,361     Assurant, Inc   165 
 1,088,547     AT&T, Inc   31,034 
 160,556  *  Athene Holding Ltd   5,472 
 3,017     Atmos Energy Corp   288 
 21,215  *  Autodesk, Inc   4,901 
 10,385     Automatic Data Processing, Inc   1,449 
 1,576  *  AutoZone, Inc   1,856 
 1,928  *  Avalara, Inc   246 
 40,690     AvalonBay Communities, Inc   6,077 
 583,019  *  Avantor, Inc   13,112 
 2,013     Avery Dennison Corp   257 
 963,752  *  Axalta Coating Systems Ltd   21,366 
 50,186     Axis Capital Holdings Ltd   2,210 
 17,222     Baker Hughes Co   229 
 7,879     Ball Corp   655 
 1,416,899     Bank of America Corp   34,133 
 280,060     Bank of New York Mellon Corp   9,617 
 2,422  *  Bausch Health Cos, Inc   38 
 168,531     Baxter International, Inc   13,553 
 37,003     Becton Dickinson & Co   8,610 
 246,980  *  Berkshire Hathaway, Inc (Class B)   52,592 
 436,963  *  Berry Global Group, Inc   21,114 
 19,946     Best Buy Co, Inc   2,220 
 9,399  *  Biogen, Inc   2,666 
 95,387  *  BioMarin Pharmaceutical, Inc   7,257 
 5,520  *  Bio-Rad Laboratories, Inc (Class A)   2,845 
 3,665  *  Black Knight, Inc   319 
 15,970     BlackRock, Inc   9,000 
 71,021     Blackstone Group, Inc   3,707 
 397,814     Boeing Co   65,743 
 16,842  *  Booking Holdings, Inc   28,811 
 3,397     Booz Allen Hamilton Holding Co   282 
 4,947     BorgWarner, Inc   192 
 33,113     Boston Properties, Inc   2,659 
238

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

 

SHARES     COMPANY  VALUE
(000)
 
 2,193,520  *  Boston Scientific Corp  $83,814 
 543,964     Bristol-Myers Squibb Co   32,796 
 328,162     Broadcom, Inc   119,556 
 2,778     Broadridge Financial Solutions, Inc   367 
 5,979     Brown & Brown, Inc   271 
 7,469     Brown-Forman Corp (Class B)   563 
 3,345     Bunge Ltd   153 
 25,569  *  Burlington Stores, Inc   5,270 
 114     Cable One, Inc   215 
 9,595     Cabot Oil & Gas Corp   167 
 6,746  *  Cadence Design Systems, Inc   719 
 2,336     Camden Property Trust   208 
 4,610     Campbell Soup Co   223 
 10,990     Capital One Financial Corp   790 
 375,719  *  Capri Holdings Ltd   6,763 
 7,103     Cardinal Health, Inc   333 
 3,335     Carlyle Group, Inc   82 
 3,795  *  CarMax, Inc   349 
 52,334  e  Carnival Corp   794 
 453,826     Carrier Global Corp   13,860 
 23,782  *  Catalent, Inc   2,037 
 424,240     Caterpillar, Inc   63,275 
 2,555     CBOE Global Markets, Inc   224 
 66,138  *  CBRE Group, Inc   3,107 
 2,850     CDK Global, Inc   124 
 197,440     CDW Corp   23,600 
 2,854     Celanese Corp (Series A)   307 
 270,668  *  Centene Corp   15,788 
 1,751,841     Centerpoint Energy, Inc   33,898 
 22,153     CenturyLink, Inc   224 
 44,455     Cerner Corp   3,214 
 22,944     CF Industries Holdings, Inc   705 
 3,270     CH Robinson Worldwide, Inc   334 
 273,726     Charles Schwab Corp   9,917 
 21,167  *  Charter Communications, Inc   13,215 
 30,442  *  Cheniere Energy, Inc   1,409 
 273,336     Chevron Corp   19,680 
 8,610  *  Chipotle Mexican Grill, Inc (Class A)   10,708 
 206,292     Chubb Ltd   23,955 
 5,940     Church & Dwight Co, Inc   557 
 231,158     Cigna Corp   39,160 
 3,722     Cincinnati Financial Corp   290 
 2,137     Cintas Corp   711 
 803,944     Cisco Systems, Inc   31,667 
 2,513,905     Citigroup, Inc   108,374 
 505,636     Citizens Financial Group, Inc   12,782 
 2,833     Citrix Systems, Inc   390 
 17,330     Clorox Co   3,642 
 67,751     CME Group, Inc   11,335 
 6,924     CMS Energy Corp   425 
 3,261,639     Coca-Cola Co   161,027 
 4,264     Cognex Corp   278 
 13,062     Cognizant Technology Solutions Corp (Class A)   907 
 377,730  *  Coherus Biosciences, Inc   6,928 
 309,979     Colgate-Palmolive Co   23,915 
 1,690,268     Comcast Corp (Class A)   78,192 
239

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

 

SHARES     COMPANY  VALUE
(000)
 
 3,674     Comerica, Inc  $141 
 1,125,000  *  CommScope Holding Co, Inc   10,125 
 148,899     ConAgra Brands, Inc   5,317 
 5,005     Concho Resources, Inc   221 
 564,603     ConocoPhillips   18,542 
 8,071     Consolidated Edison, Inc   628 
 22,257     Constellation Brands, Inc (Class A)   4,218 
 1,288     Cooper Cos, Inc   434 
 5,106  *  Copart, Inc   537 
 18,391     Corning, Inc   596 
 130,434     Corteva, Inc   3,758 
 952  *  CoStar Group, Inc   808 
 400,454     Costco Wholesale Corp   142,161 
 6,548     Coty, Inc   18 
 1,610  *  Coupa Software, Inc   442 
 3,447  *  Crowdstrike Holdings, Inc   473 
 85,094     Crown Castle International Corp   14,168 
 704,806  *  Crown Holdings, Inc   54,171 
 389,985     CSX Corp   30,290 
 3,566     Cummins, Inc   753 
 253,597     CVS Health Corp   14,810 
 222  *  CyberArk Software Ltd   23 
 20,500     CyrusOne, Inc   1,436 
 241,697     Danaher Corp   52,045 
 3,027     Darden Restaurants, Inc   305 
 3,242  *  Datadog, Inc   331 
 1,867  *  DaVita, Inc   160 
 92,273     Deere & Co   20,450 
 5,824  *  Dell Technologies, Inc   394 
 91,538     Delta Air Lines, Inc   2,799 
 5,107     Dentsply Sirona, Inc   223 
 20,425  *  DexCom, Inc   8,420 
 11,216     Diamondback Energy, Inc   338 
 26,984     Digital Realty Trust, Inc   3,960 
 421,028     Discover Financial Services   24,327 
 3,699  *,e  Discovery, Inc (Class A)   81 
 7,823  *  Discovery, Inc (Class C)   153 
 29,714  *  DISH Network Corp (Class A)   863 
 4,204  *  DocuSign, Inc   905 
 25,614     Dollar General Corp   5,369 
 39,729  *  Dollar Tree, Inc   3,629 
 261,289     Dominion Energy, Inc   20,624 
 945     Domino’s Pizza, Inc   402 
 37,944     Dover Corp   4,111 
 1,531,556  n  Dow, Inc   72,060 
 8,350     DR Horton, Inc   632 
 5,734  *  Dropbox, Inc   110 
 4,656     DTE Energy Co   536 
 103,545     Duke Energy Corp   9,170 
 34,966     Duke Realty Corp   1,290 
 1,475,384  n  DuPont de Nemours, Inc   81,854 
 4,152  *  Dynatrace, Inc   170 
 5,310     E*TRADE Financial Corp   266 
 3,147     East West Bancorp, Inc   103 
 3,328     Eastman Chemical Co   260 
 256,180     Eaton Corp   26,138 
240

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

 

SHARES     COMPANY  VALUE
(000)
 
 107,816     eBay, Inc  $5,617 
 6,162     Ecolab, Inc   1,231 
 50,491     Edison International   2,567 
 924,012  *  Edwards Lifesciences Corp   73,755 
 9,367  *  Elanco Animal Health, Inc   262 
 6,975  *  Electronic Arts, Inc   910 
 225,817     Eli Lilly & Co   33,425 
 25,000  *  Emergent Biosolutions, Inc   2,583 
 14,433     Emerson Electric Co   946 
 230,076     Entergy Corp   22,669 
 671,909  *  Envista Holdings Corp   16,583 
 102,518     EOG Resources, Inc   3,685 
 1,345  *  EPAM Systems, Inc   435 
 2,933     Equifax, Inc   460 
 45,386     Equinix, Inc   34,499 
 795,041     Equitable Holdings, Inc   14,502 
 64,242     Equity Lifestyle Properties, Inc   3,938 
 49,979     Equity Residential   2,565 
 571     Erie Indemnity Co (Class A)   120 
 5,850     Essential Utilities Inc   235 
 6,577     Essex Property Trust, Inc   1,321 
 139,388     Estee Lauder Cos (Class A)   30,421 
 963     Everest Re Group Ltd   190 
 5,293     Evergy, Inc   269 
 8,130     Eversource Energy   679 
 126,659  *  Exact Sciences Corp   12,913 
 134,027     Exelon Corp   4,793 
 41,309     Expedia Group, Inc   3,788 
 4,024     Expeditors International of Washington, Inc   364 
 18,138     Extra Space Storage, Inc   1,941 
 481,053     Exxon Mobil Corp   16,515 
 1,436  *  F5 Networks, Inc   176 
 906,461  *  Facebook, Inc   237,402 
 928     Factset Research Systems, Inc   311 
 676  *  Fair Isaac Corp   288 
 13,845     Fastenal Co   624 
 1,842     Federal Realty Investment Trust   135 
 5,997     FedEx Corp   1,508 
 1,915     Ferguson plc   193 
 6,635     Fidelity National Financial Inc   208 
 116,720     Fidelity National Information Services, Inc   17,182 
 295,810     Fifth Third Bancorp   6,307 
 4,144     First Republic Bank   452 
 246,368     FirstEnergy Corp   7,073 
 13,751  *  Fiserv, Inc   1,417 
 2,025  *  FleetCor Technologies, Inc   482 
 3,242     FLIR Systems, Inc   116 
 3,148     FMC Corp   333 
 94,399     Ford Motor Co   629 
 3,319  *  Fortinet, Inc   391 
 141,498     Fortive Corp   10,784 
 3,316     Fortune Brands Home & Security, Inc   287 
 7,847     Fox Corp (Class A)   218 
 4,103     Fox Corp (Class B)   115 
 7,090     Franklin Resources, Inc   144 
 5,235,387     Freeport-McMoRan, Inc (Class B)   81,881 
241

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

 

SHARES     COMPANY  VALUE
(000)
 
 45,562     Gaming and Leisure Properties, Inc  $1,683 
 3,484     Garmin Ltd   331 
 2,152  *  Gartner, Inc   269 
 5,882     General Dynamics Corp   814 
 211,305     General Electric Co   1,316 
 51,188     General Mills, Inc   3,157 
 18,106,794  *,†,e  General Motors Co   0 
 13,592,224  *,†  General Motors Co    0 
 31,123     General Motors Co   921 
 26,439,985  *,†  General Motors Co    0 
 19,417,463  *,†  General Motors Co    0 
 4,461,000  *,†  General Motors Co    0 
 18,159,000  *,†  General Motors Co    0 
 61,921,000  *,†,e  General Motors Co    0 
 530,757  *,†  General Motors Co    0 
 69,850,000  *,†  General Motors Co    0 
 29,845,445  *,†  General Motors Co    0 
 3,507     Genuine Parts Co   334 
 108,809     Gilead Sciences, Inc   6,876 
 50,837     Global Payments, Inc   9,028 
 2,345     Globe Life, Inc   187 
 3,875  *  GoDaddy, Inc   294 
 243,438     Goldman Sachs Group, Inc   48,924 
 36,000  *  Guardant Health, Inc   4,024 
 1,978  *  Guidewire Software, Inc   206 
 289,730     Halliburton Co   3,491 
 162,878     Hartford Financial Services Group, Inc   6,004 
 3,081     Hasbro, Inc   255 
 50,067     HCA Healthcare, Inc   6,242 
 3,896  *  HD Supply Holdings, Inc   161 
 26,000     Healthcare Trust of America, Inc   676 
 90,992     Healthpeak Properties Inc   2,470 
 1,161     HEICO Corp   122 
 1,698     HEICO Corp (Class A)   151 
 3,235  *  Henry Schein, Inc   190 
 3,562     Hershey Co   511 
 6,404     Hess Corp   262 
 30,129     Hewlett Packard Enterprise Co   282 
 90,280     Hexcel Corp   3,029 
 6,696     Hilton Worldwide Holdings, Inc   571 
 222,724  *  Hologic, Inc   14,804 
 705,426     Home Depot, Inc   195,904 
 780,340     Honeywell International, Inc   128,452 
 187,754  *  Horizon Therapeutics Plc   14,585 
 7,165     Hormel Foods Corp   350 
 97,746     Host Hotels and Resorts, Inc   1,055 
 10,275     Howmet Aerospace, Inc   172 
 34,552     HP, Inc   656 
 84,041     Hubbell, Inc   11,500 
 15,288  *  HubSpot, Inc   4,468 
 8,792     Humana, Inc   3,639 
 25,628     Huntington Bancshares, Inc   235 
 1,056     Huntington Ingalls   149 
 40,788  *  IAC   4,886 
 1,834     IDEX Corp   335 
 16,078  *  IDEXX Laboratories, Inc   6,320 
242

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

 

SHARES     COMPANY  VALUE
(000)
 
 24,542     IHS Markit Ltd  $1,927 
 7,638     Illinois Tool Works, Inc   1,476 
 67,955  *  Illumina, Inc   21,004 
 4,463  *  Incyte Corp   401 
 565,102  *  Ingersoll Rand, Inc   20,118 
 1,586     Ingredion, Inc   120 
 1,586  *  Insulet Corp   375 
 2,171,859     Intel Corp   112,459 
 44,875     Intercontinental Exchange Group, Inc   4,490 
 21,459     International Business Machines Corp   2,611 
 2,032     International Flavors & Fragrances, Inc   249 
 106     International Flavors & Fragrances, Inc (Tel Aviv)   13 
 25,943     International Paper Co   1,052 
 116,335     Interpublic Group of Cos, Inc   1,939 
 60,981     Intuit, Inc   19,893 
 18,078  *  Intuitive Surgical, Inc   12,827 
 10,190     Invesco Ltd   116 
 112,680     Invitation Homes, Inc   3,154 
 3,121  *  Ionis Pharmaceuticals, Inc   148 
 887  *  IPG Photonics Corp   151 
 34,260  *  IQVIA Holdings, Inc   5,400 
 7,354     Iron Mountain, Inc   197 
 117,669  e  iShares MSCI Canada Index Fund   3,225 
 27,426     iShares MSCI South Korea Index Fund   1,792 
 80,000  e  iShares Russell 2000 Index Fund   11,983 
 148,932     ITT, Inc   8,794 
 2,790     J.M. Smucker Co   322 
 1,879     Jack Henry & Associates, Inc   306 
 3,057     Jacobs Engineering Group, Inc   284 
 3,776     James Hardie Industries NV   91 
 213,747  *  Jazz Pharmaceuticals plc   30,478 
 2,090     JB Hunt Transport Services, Inc   264 
 640,113     Johnson & Johnson   95,300 
 17,967     Johnson Controls International plc   734 
 1,238     Jones Lang LaSalle, Inc   118 
 2,391,274     JPMorgan Chase & Co   230,208 
 7,927     Juniper Networks, Inc   170 
 83,004     Kansas City Southern   15,010 
 6,214     Kellogg Co   401 
 1,560,309     Keurig Dr Pepper, Inc   43,065 
 24,051     Keycorp   287 
 4,506  *  Keysight Technologies, Inc   445 
 10,000     Kilroy Realty Corp   520 
 52,126     Kimberly-Clark Corp   7,697 
 49,187     Kinder Morgan, Inc   606 
 12,154     KKR & Co, Inc   417 
 3,747     KLA Corp   726 
 2,901     Knight-Swift Transportation Holdings, Inc   118 
 16,237     Kraft Heinz Co   486 
 133,265     Kroger Co   4,519 
 431,618     L3Harris Technologies, Inc   73,306 
 11,658  *  Laboratory Corp of America Holdings   2,195 
 32,216     Lam Research Corp   10,688 
 3,415     Lamb Weston Holdings, Inc   226 
 1,033,519     Las Vegas Sands Corp   48,224 
 1,407     Lear Corp   153 
243

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

 

SHARES     COMPANY  VALUE
(000)
 
 3,259     Leidos Holdings, Inc  $291 
 6,635     Lennar Corp (Class A)   542 
 820     Lennox International, Inc   224 
 621  *  Liberty Broadband Corp (Class A)   88 
 2,586  *  Liberty Broadband Corp (Class C)   369 
 4,820  *  Liberty Media Group (Class C)   175 
 2,432  *  Liberty SiriusXM Group (Class A)   81 
 4,140  *  Liberty SiriusXM Group (Class C)   137 
 5,173     Lincoln National Corp   162 
 3,686  *  Live Nation, Inc   199 
 6,831  *  LKQ Corp   189 
 6,095     Lockheed Martin Corp   2,336 
 6,448     Loews Corp   224 
 295,757     Lowe’s Companies, Inc   49,054 
 143,042  *  Lululemon Athletica, Inc   47,114 
 6,447     LyondellBasell Industries NV   454 
 3,154     M&T Bank Corp   290 
 15,703     Marathon Petroleum Corp   461 
 333  *  Markel Corp   324 
 916     MarketAxess Holdings, Inc   441 
 171,655     Marriott International, Inc (Class A)   15,892 
 206,907     Marsh & McLennan Cos, Inc   23,732 
 1,448     Martin Marietta Materials, Inc   341 
 16,077     Marvell Technology Group Ltd   638 
 6,153     Masco Corp   339 
 15,269  *  Masimo Corp   3,604 
 273,508     Mastercard, Inc (Class A)   92,492 
 490,381  *  Match Group, Inc   54,261 
 6,443     Maxim Integrated Products, Inc   436 
 2,988     McCormick & Co, Inc   580 
 745,932     McDonald’s Corp   163,725 
 32,557     McKesson Corp   4,849 
 12,923     Medical Properties Trust, Inc   228 
 161,148     Medtronic plc   16,747 
 833,692     Merck & Co, Inc   69,155 
 41,417     Metlife, Inc   1,539 
 578  *  Mettler-Toledo International, Inc   558 
 855,656     MGM Growth Properties LLC   23,941 
 11,675     MGM Resorts International   254 
 5,927     Microchip Technology, Inc   609 
 635,487  *  Micron Technology, Inc   29,842 
 3,154,876     Microsoft Corp   663,565 
 14,658     Mid-America Apartment Communities, Inc   1,700 
 6,577  *  Moderna, Inc   465 
 1,444  *  Mohawk Industries, Inc   141 
 1,409  *  Molina Healthcare, Inc   258 
 4,777     Molson Coors Brewing Co (Class B)   160 
 732,219     Mondelez International, Inc   42,066 
 1,182  *  MongoDB, Inc   274 
 1,060,640  *  Monster Beverage Corp   85,063 
 4,079     Moody’s Corp   1,182 
 3,002,404     Morgan Stanley   145,166 
 8,804     Mosaic Co   161 
 4,110     Motorola Solutions, Inc   645 
 2,055     MSCI, Inc (Class A)   733 
 12,997  *  Mylan NV   193 
244

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

 

SHARES     COMPANY  VALUE
(000)
 
 2,787     Nasdaq Inc  $342 
 9,817     National Oilwell Varco, Inc   89 
 4,398     National Retail Properties, Inc   152 
 5,145     NetApp, Inc   226 
 88,988  *  Netflix, Inc   44,497 
 2,115  *  Neurocrine Biosciences, Inc   203 
 20,000  *  Nevro Corp   2,786 
 9,764     Newell Brands Inc   168 
 438,517     Newmont Goldcorp Corp   27,824 
 8,882     News Corp (Class A)   125 
 167,732     NextEra Energy, Inc   46,556 
 9,625     Nielsen NV   136 
 1,317,194     Nike, Inc (Class B)   165,361 
 9,127     NiSource, Inc   201 
 1,294     Nordson Corp   248 
 6,185     Norfolk Southern Corp   1,324 
 4,606     Northern Trust Corp   359 
 62,242     Northrop Grumman Corp   19,637 
 13,791     NortonLifelock, Inc   287 
 34,950     NRG Energy, Inc   1,074 
 7,007     Nucor Corp   314 
 92,541     NVIDIA Corp   50,085 
 1,052  *  NVR, Inc   4,295 
 23,730     Occidental Petroleum Corp   238 
 4,697     OGE Energy Corp   141 
 2,806  *  Okta, Inc   600 
 2,276     Old Dominion Freight Line   412 
 5,505     Omega Healthcare Investors, Inc   165 
 5,150     Omnicom Group, Inc   255 
 9,413  *  ON Semiconductor Corp   204 
 57,700     ONEOK, Inc   1,499 
 97,800     Oracle Corp   5,839 
 4,470  *  O’Reilly Automotive, Inc   2,061 
 52,265     Otis Worldwide Corp   3,262 
 126,593     Owens Corning, Inc   8,711 
 8,358     PACCAR, Inc   713 
 8,755     Packaging Corp of America   955 
 1,785,714  *  Pactiv Evergreen, Inc   22,679 
 2,331  *  Palo Alto Networks, Inc   571 
 176,088     Parker-Hannifin Corp   35,630 
 273,466     Parsley Energy, Inc   2,560 
 7,799     Paychex, Inc   622 
 1,209  *  Paycom Software, Inc   376 
 977,173  *  PayPal Holdings, Inc   192,532 
 700,860  *  Peloton Interactive, Inc   69,553 
 3,989     Pentair plc   183 
 11,915     People’s United Financial, Inc   123 
 350,014     PepsiCo, Inc   48,512 
 30,713     PerkinElmer, Inc   3,855 
 74,064     Perrigo Co plc   3,400 
 1,060,938     Pfizer, Inc   38,936 
 26,600  *,b  PG&E Corp   250 
 169,716     Philip Morris International, Inc   12,727 
 422,420     Phillips 66   21,898 
 2,675     Pinnacle West Capital Corp   199 
 9,806  *  Pinterest, Inc   407 
245

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

 

SHARES     COMPANY  VALUE
(000)
 
 79,517     Pioneer Natural Resources Co  $6,838 
 137,330     PNC Financial Services Group, Inc   15,094 
 155,347     PPG Industries, Inc   18,965 
 93,884     PPL Corp   2,555 
 6,550     Principal Financial Group   264 
 1,553,605     Procter & Gamble Co   215,936 
 180,081     Progressive Corp   17,048 
 218,238     Prologis, Inc   21,959 
 56,265     Prudential Financial, Inc   3,574 
 2,596  *  PTC, Inc   215 
 70,495     Public Service Enterprise Group, Inc   3,871 
 16,801     Public Storage, Inc   3,742 
 6,589     Pulte Homes, Inc   305 
 1,944  *  QIAGEN NV (Turquoise)   101 
 2,779  *  Qorvo, Inc   359 
 156,000     QTS Realty Trust, Inc   9,831 
 700,632     QUALCOMM, Inc   82,450 
 72,412     Quest Diagnostics, Inc   8,290 
 1,355     Ralph Lauren Corp   92 
 2,969     Raymond James Financial, Inc   216 
 648,007     Raytheon Technologies Corp   37,286 
 34,294     Realty Income Corp   2,083 
 49,475     Regency Centers Corp   1,881 
 141,075  *  Regeneron Pharmaceuticals, Inc   78,971 
 23,525     Regions Financial Corp   271 
 1,656     Reinsurance Group of America, Inc (Class A)   158 
 5,385     Republic Services, Inc   503 
 7,496     Resmed, Inc   1,285 
 566,370     Rexford Industrial Realty, Inc   25,917 
 1,768  *  RingCentral, Inc   486 
 2,644     Robert Half International, Inc   140 
 59,855     Rockwell Automation, Inc   13,209 
 2,458  *  Roku, Inc   464 
 3,785     Rollins, Inc   205 
 84,828     Roper Technologies Inc   33,516 
 28,960     Ross Stores, Inc   2,703 
 18,290     Royal Caribbean Cruises Ltd   1,184 
 3,221     RPM International, Inc   267 
 53,894     S&P Global, Inc   19,434 
 896,570  *  salesforce.com, Inc   225,326 
 11,748  *  Sarepta Therapeutics, Inc   1,650 
 10,294     SBA Communications Corp   3,278 
 221,237     Schlumberger Ltd   3,442 
 5,584     Seagate Technology, Inc   275 
 3,557     Sealed Air Corp   138 
 528,835  *  Seattle Genetics, Inc   103,488 
 2,994     SEI Investments Co   152 
 39,263     Sempra Energy   4,647 
 3,892  *  Sensata Technologies Holding plc   168 
 259,568  *  ServiceNow, Inc   125,890 
 17,059     Sherwin-Williams Co   11,886 
 1,382     Signature Bank   115 
 35,883     Simon Property Group, Inc   2,321 
 24,037  e  Sirius XM Holdings, Inc   129 
 142,631     Skyworks Solutions, Inc   20,753 
 259,057  *,e  Slack Technologies, Inc   6,958 
246

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

 

SHARES     COMPANY  VALUE
(000)
 
 21,537  *  Snap, Inc  $562 
 1,162     Snap-On, Inc   171 
 252,888     Southern Co   13,712 
 3,550     Southwest Airlines Co   133 
 3,838  *  Splunk, Inc   722 
 39,800  *  Spotify Technology S.A.   9,654 
 8,772  *  Square, Inc   1,426 
 5,608     SS&C Technologies Holdings, Inc   339 
 33,913     Stanley Black & Decker, Inc   5,501 
 170,604     Starbucks Corp   14,658 
 103,006     State Street Corp   6,111 
 5,169     Steel Dynamics, Inc   148 
 2,057     STERIS plc   362 
 63,164     Stryker Corp   13,161 
 32,791     Sun Communities, Inc   4,611 
 1,205  *  SVB Financial Group   290 
 12,674     Synchrony Financial   332 
 74,072  *  Synopsys, Inc   15,850 
 43,900     SYSCO Corp   2,731 
 5,500     T Rowe Price Group, Inc   705 
 61,456  *  Take-Two Interactive Software, Inc   10,154 
 598,026     Target Corp   94,141 
 75,335     TD Ameritrade Holding Corp   2,949 
 305,763     TE Connectivity Ltd   29,885 
 18,712  *,e  Teladoc, Inc   4,102 
 883  *  Teledyne Technologies, Inc   274 
 1,122     Teleflex, Inc   382 
 1,462     Tenaris S.A.   7 
 4,051     Teradyne, Inc   322 
 26,000     Terreno Realty Corp   1,424 
 282,410  *  Tesla, Inc   121,157 
 48,420     Texas Instruments, Inc   6,914 
 195,739     Textron, Inc   7,064 
 88,998     Thermo Fisher Scientific, Inc   39,294 
 2,669     Tiffany & Co   309 
 210,534     TJX Companies, Inc   11,716 
 167,691  *  T-Mobile US, Inc   19,177 
 2,793     Tractor Supply Co   400 
 988  *  Trade Desk, Inc   513 
 1,794     Tradeweb Markets, Inc   104 
 397,724     Trane Technologies plc   48,224 
 16,293     TransDigm Group, Inc   7,741 
 4,586     TransUnion   386 
 6,108     Travelers Cos, Inc   661 
 6,134  *  Trimble Inc   299 
 273,059     Tronox Holdings plc   2,149 
 32,554     Truist Financial Corp   1,239 
 2,956  *  Twilio, Inc   730 
 18,961  *  Twitter, Inc   844 
 969  *  Tyler Technologies, Inc   338 
 22,766     Tyson Foods, Inc (Class A)   1,354 
 23,037  *  Uber Technologies, Inc   840 
 7,908     UDR, Inc   258 
 5,116     UGI Corp   169 
 47,097  *  Ulta Beauty, Inc   10,549 
 851,571     Union Pacific Corp   167,649 
247

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

 

SHARES     COMPANY  VALUE
(000)
 
 196,762     United Parcel Service, Inc (Class B)  $32,786 
 1,741  *  United Rentals, Inc   304 
 436,984     UnitedHealth Group, Inc   136,239 
 1,941     Universal Health Services, Inc (Class B)   208 
 291,487     US Bancorp   10,450 
 4,086     Vail Resorts, Inc   874 
 504,651     Valero Energy Corp   21,861 
 302,024     Vanguard Emerging Markets ETF   13,060 
 50,000     Vanguard FTSE Developed Markets ETF   2,045 
 12,195  *  Varian Medical Systems, Inc   2,098 
 23,070  *  Veeva Systems, Inc   6,487 
 39,013     Ventas, Inc   1,637 
 28,586     VEREIT, Inc   186 
 77,012  *  VeriSign, Inc   15,776 
 3,727     Verisk Analytics, Inc   691 
 905,687     Verizon Communications, Inc   53,879 
 86,173  *  Vertex Pharmaceuticals, Inc   23,449 
 25,884     VF Corp   1,818 
 69,776     ViacomCBS, Inc (Class B)   1,954 
 85,904     VICI Properties, Inc   2,008 
 917,848     Visa, Inc (Class A)   183,542 
 45,975     Vistra Energy Corp   867 
 2,063  *  VMware, Inc (Class A)   296 
 4,237     Vornado Realty Trust   143 
 427,715     Voya Financial, Inc   20,500 
 88,201     Vulcan Materials Co   11,955 
 3,455     W.R. Berkley Corp   211 
 57,877     W.W. Grainger, Inc   20,649 
 4,362     Wabtec Corp   270 
 18,003     Walgreens Boots Alliance, Inc   647 
 1,082,955     Walmart, Inc   151,516 
 1,310,239     Walt Disney Co   162,574 
 6,351     Waste Connections, Inc   659 
 194,487     Waste Management, Inc   22,010 
 1,524  *  Waters Corp   298 
 1,553  *,e  Wayfair, Inc   452 
 7,624     WEC Energy Group, Inc   739 
 94,099     Wells Fargo & Co   2,212 
 46,084     Welltower, Inc   2,539 
 28,327     West Pharmaceutical Services, Inc   7,787 
 7,041     Western Digital Corp   257 
 9,784     Western Union Co   210 
 5,908     WestRock Co   205 
 46,432     Weyerhaeuser Co   1,324 
 1,445     Whirlpool Corp   266 
 165,583     Williams Cos, Inc   3,254 
 7,974     Willis Towers Watson plc   1,665 
 4,205  *  Workday, Inc   905 
 4,158     WP Carey, Inc   271 
 564,517  *  WPX Energy, Inc   2,766 
 920,577     Wynn Resorts Ltd   66,107 
 12,698     Xcel Energy, Inc   876 
 5,875     Xilinx, Inc   612 
 2,177  *  XPO Logistics, Inc   184 
 4,354     Xylem, Inc   366 
 117,105  *  YETI Holdings, Inc   5,307 
248

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

 

SHARES     COMPANY              VALUE
(000)
 
 43,201     Yum! Brands, Inc              $3,944 
 1,293  *  Zebra Technologies Corp (Class A)               326 
 3,394  *  Zillow Group, Inc (Class C)               345 
 131,615     Zimmer Biomet Holdings, Inc               17,918 
 4,379     Zions Bancorporation               128 
 207,625     Zoetis, Inc               34,335 
 3,847  *  Zoom Video Communications, Inc               1,809 
 31,294  *  Zscaler, Inc               4,403 
       TOTAL UNITED STATES               11,648,674 
                         
ZAMBIA - 0.0%                 
 830,761     First Quantum Minerals Ltd               7,406 
       TOTAL ZAMBIA               7,406 
                         
       TOTAL COMMON STOCKS               20,690,576 
       (Cost $17,141,649)                 
                         
PURCHASED OPTIONS - 0.0%
 
UNITED STATES - 0.0%
 37,000      Dow, Inc               108 
          TOTAL UNITED STATES               108 
                            
       TOTAL PURCHASED OPTIONS               108 
       (Cost $51)                 
                         
RIGHTS / WARRANTS - 0.0%
                         
AUSTRALIA - 0.0%                 
 85,557  e  PointsBet Holdings Pty Ltd               144 
       TOTAL AUSTRALIA               144 
                         
CHINA - 0.0%                 
 3,146    Legend Holdings Corp               1 
       TOTAL CHINA               1 
                         
SWEDEN - 0.0%                 
 160,083     SAS AB               8 
       TOTAL SWEDEN               8 
                         
THAILAND - 0.0%                 
 21,995     Minor International PCL               5 
 20,577    Siam Cement PCL                0 
 5,464     Srisawad Corp PCL               2 
       TOTAL THAILAND               7 
                         
UNITED STATES - 0.0%                 
 10,700     Bristol-Myers Squibb Co               24 
       TOTAL UNITED STATES               24 
                         
       TOTAL RIGHTS / WARRANTS               184 
       (Cost $50)                 

249

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

 

PRINCIPAL     ISSUER  RATE  MATURITY
DATE
  VALUE
(000)
 
SHORT-TERM INVESTMENTS - 1.0%
                     
GOVERNMENT AGENCY DEBT - 0.6%
$10,000,000     Federal Farm Credit Bank (FFCB)   0.200%  11/04/20  $9,999 
 12,000,000     FFCB   0.100   12/18/20   11,998 
 41,470,000     Federal Home Loan Bank (FHLB)   0.090-0.115   10/16/20   41,469 
 31,615,000     FHLB   0.102   11/04/20   31,613 
 10,000,000     FHLB   0.094   11/06/20   9,999 
 10,000,000     Federal National Mortgage Association (FNMA)   0.200   10/16/20   10,000 
       TOTAL GOVERNMENT AGENCY DEBT           115,078 
                 
TREASURY DEBT - 0.3%
$22,875,000     United States Cash Management Bill   0.065  10/13/20   22,874 
 21,030,000     United States Treasury Bill   0.090-0.094   10/06/20   21,030 
 14,230,000     United States Treasury Bill   0.081   11/05/20   14,229 
       TOTAL TREASURY DEBT           58,133 
                     
INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED - 0.1%
                     
CERTIFICATE OF DEPOSIT - 0.0%
 7,000,000     Lloyds Bank plc   0.58  10/01/20   7,000 
       TOTAL CERTIFICATE OF DEPOSIT           7,000 
                     
REPURCHASE AGREEMENT - 0.1%
 4,000,000  r  Calyon   0.08   10/01/20   4,000 
 745,000  s  Calyon   0.08   10/01/20   745 
 4,000,000  t  Citigroup   0.06   10/01/20   4,000 
 4,000,000  u  Deutsche Bank   0.06   10/01/20   4,000 
 5,000,000  v  Goldman Sachs   0.06   10/01/20   5,000 
 4,000,000  w  Merrill Lynch   0.08   10/01/20   4,000 
 4,000,000  x  Societe Generale   0.08   10/01/20   4,000 
       TOTAL REPURCHASE AGREEMENT           25,745 
                     
       TOTAL INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED32,745 
                     
       TOTAL SHORT-TERM INVESTMENTS           205,956 
       (Cost $205,952)             
       TOTAL INVESTMENTS - 99.7%           20,896,824 
       (Cost $17,347,702)             
       OTHER ASSETS & LIABILITIES, NET - 0.3%           70,842 
       NET ASSETS - 100.0%          $20,967,666 
       
     
    Abbreviation(s):
ADR   American Depositary Receipt
ETF   Exchange Traded Fund
GDR   Global Depositary Receipt
REIT   Real Estate Investment Trust
       
*   Non-income producing
^   Amount represents less than $1,000.
  Security is categorized as Level 3 in the fair value hierarchy.
b   In bankruptcy
d   All or a portion of these securities have been segregated to cover margin requirements on open futures contracts.
e   All or a portion of these securities are out on loan. The aggregate value of securities on loan is $133,832,386.
250

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

 

g   Security is exempt from registration under Rule 144(A) of the Securities Act of 1933, as amended. Such securities are deemed liquid and may be resold in transactions exempt from registration to qualified institutional buyers. At 9/30/20, the aggregate value of these securities is $299,922,723 or 1.4% of net assets.
h   All or a portion of these securities were purchased on a delayed delivery basis
n   All or a portion of these securities have been segregated by the custodian to cover requirements on open written options contracts.
r   Agreement with Calyon, 0.08% dated 9/30/2020 to be repurchased at $4,000,000 on 10/01/20, collateralized by U.S. Government Agency Securities valued at $4,080,000.
s   Agreement with Calyon, 0.08% dated 9/30/2020 to be repurchased at $745,000 on 10/01/20, collateralized by U.S. Government Agency Securities valued at $759,900.
t   Agreement with Citigroup, 0.06% dated 9/30/2020 to be repurchased at $4,000,000 on 10/01/20, collateralized by U.S. Government Agency Securities valued at $4,080,000.
u   Agreement with Deutsche Bank, 0.06% dated 9/30/2020 to be repurchased at $4,000,000 on 10/01/20, collateralized by U.S. Government Agency Securities valued at $4,080,000.
v   Agreement with Goldman Sachs, 0.06% dated 9/30/2020 to be repurchased at $5,000,000 on 10/01/20, collateralized by U.S. Government Agency Securities valued at $5,100,000.
w   Agreement with Merrill Lynch, 0.08% dated 9/30/2020 to be repurchased at $4,000,000 on 10/01/20, collateralized by U.S. Government Agency Securities valued at $4,080,000.
x   Agreement with Societe Generale, 0.08% dated 9/30/2020 to be repurchased at $4,000,000 on 10/01/20, collateralized by U.S. Government Agency Securities valued at $4,080,000.
     
    Cost amounts are in thousands.
       
       

Purchased options outstanding as of September 30, 2020 were as follows (notional amounts and values are in thousands):

 

Description/underlying investment  Number of contracts   Notional amount  Exercise price Expiration date  Value 
Dow, Inc, Call  370   $51       $ 50 .00    01/15/21  $108 

 

Written options outstanding as of September 30, 2020 were as follows (notional amounts and values are in thousands):  

 

Description/underlying investment   Number of contracts   Notional amount   Exercise price   Expiration date  Value 
Apple, Inc, Call  936   $   (503)  $          92 .50    10/16/20  $(2,200)
Dow, Inc, Put  370    (51)  25 .00   01/15/21   (11)
DuPont de Nemours, Inc, Put  228    (93)  42 .50   10/16/20   (2)
DuPont de Nemours, Inc, Put  228    (120)  45 .00   10/16/20   (2)
Total  1,762   $(767)         $(2,215)

 

Futures contracts outstanding as of September 30, 2020 were as follows (notional amounts and values are in thousands):

 

Description    Number of long
(short) contracts
   Expiration date  Notional amount   Value   Unrealized
appreciation (depreciation)
 
MSCI EAFE Index   346   12/18/20  $32,562   $32,060   $(501)
S&P 500 E Mini Index   418   12/18/20   70,848    70,057    (792)
Total   764      $103,410   $102,117   $(1,293)
251

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

 

COLLEGE RETIREMENT EQUITIES FUND
GLOBAL EQUITIES ACCOUNT
SUMMARY OF MARKET VALUES BY SECTOR (unaudited)
September 30, 2020

 

SECTOR   VALUE
(000)
   % OF
NET ASSETS
 
INFORMATION TECHNOLOGY  $4,799,809    22.9%
CONSUMER DISCRETIONARY   3,318,074    15.8 
HEALTH CARE   2,703,768    12.9 
FINANCIALS   2,192,619    10.5 
INDUSTRIALS   1,871,357    8.9 
COMMUNICATION SERVICES   1,808,512    8.6 
CONSUMER STAPLES   1,626,240    7.8 
MATERIALS   1,154,861    5.5 
UTILITIES   564,813    2.7 
REAL ESTATE   344,777    1.6 
ENERGY   306,038    1.5 
SHORT-TERM INVESTMENTS   205,956    1.0 
OTHER ASSETS & LIABILITES, NET   70,842    0.3 
NET ASSETS  $20,967,666    100.0%
252

COLLEGE RETIREMENT EQUITIES FUND - Growth Account

 

COLLEGE RETIREMENT EQUITIES FUND
GROWTH ACCOUNT
SCHEDULE OF INVESTMENTS (unaudited)
September 30, 2020

 

SHARES      COMPANY  VALUE
(000)
 
COMMON STOCKS - 99.5%    
              
AUTOMOBILES & COMPONENTS - 1.7%    
 720,164      Aptiv plc  $66,025 
 1,158,645   *  Tesla, Inc   497,070 
        TOTAL AUTOMOBILES & COMPONENTS   563,095 
              
BANKS - 0.1%    
 1,341   *,e  LendingTree, Inc   411 
 1,543,735   *,e  Rocket Cos, Inc   30,767 
        TOTAL BANKS   31,178 
              
CAPITAL GOODS - 1.6%    
 67,042      3M Co   10,739 
 10,355      Allegion plc   1,024 
 12,495      Allison Transmission Holdings, Inc   439 
 2,136      Armstrong World Industries, Inc   147 
 10,346   *  Axon Enterprise, Inc   938 
 1,186   *  AZEK Co, Inc   41 
 9,639      BWX Technologies, Inc   543 
 56,029      Carrier Global Corp   1,711 
 2,971,074   *  Churchill Capital Corp IV   29,770 
 833   e  Donaldson Co, Inc   39 
 85,001      Fastenal Co   3,833 
 10,019   *  Generac Holdings, Inc   1,940 
 14,224      Graco, Inc   873 
 7,491      HEICO Corp   784 
 10,955      HEICO Corp (Class A)   971 
 647,645      Honeywell International, Inc   106,609 
 322      Huntington Ingalls   45 
 25,613      Illinois Tool Works, Inc   4,949 
 4,155      Lincoln Electric Holdings, Inc   383 
 44,754      Lockheed Martin Corp   17,153 
 7,192   *  Mercury Systems, Inc   557 
 8,591      Nordson Corp   1,648 
 25,895      Northrop Grumman Corp   8,170 
 3,500      Quanta Services, Inc   185 
 1,855,473      Raytheon Technologies Corp   106,764 
 10,788      Rockwell Automation, Inc   2,381 
 549,678      Roper Technologies Inc   217,183 
 16,585      Toro Co   1,392 
 2,092      TransDigm Group, Inc   994 
 21,010   *  Trex Co, Inc   1,504 
 36,784   *  Vertiv Holdings Co   637 
 5,201   *,e  Virgin Galactic Holdings, Inc   100 
 5,983      W.W. Grainger, Inc   2,135 
        TOTAL CAPITAL GOODS   526,581 
253

COLLEGE RETIREMENT EQUITIES FUND - Growth Account

 

SHARES      COMPANY  VALUE
(000)
 
COMMERCIAL & PROFESSIONAL SERVICES - 2.8%    
 651,292   *,e  Cimpress plc  $48,951 
 14,321      Cintas Corp   4,766 
 5,187,298   *  Clarivate Analytics plc   160,754 
 36,334   *  Copart, Inc   3,821 
 200,241   *  CoStar Group, Inc   169,906 
 4,151   *  Dun & Bradstreet Holdings, Inc   106 
 954,754      Equifax, Inc   149,801 
 3,912,180      Experian Group Ltd   146,998 
 4,795   *  IAA, Inc   250 
 38,932      IHS Markit Ltd   3,057 
 930      MSA Safety, Inc   125 
 22,355      Rollins, Inc   1,211 
 32,254      TransUnion   2,714 
 28,654      Verisk Analytics, Inc   5,310 
 2,133,915      Waste Connections, Inc   221,500 
 10,256      Waste Management, Inc   1,161 
        TOTAL COMMERCIAL & PROFESSIONAL SERVICES   920,431 
              
CONSUMER DURABLES & APPAREL - 1.9%    
 646,649      Essilor International S.A.   88,033 
 20,445   *  Lululemon Athletica, Inc   6,734 
 34,817   *  Mattel, Inc   407 
 2,613,717      Nike, Inc (Class B)   328,126 
 41   *  NVR, Inc   167 
 289,796   *  Peloton Interactive, Inc   28,759 
 945      Polaris Inc   89 
 13,734,600      Prada S.p.A   54,040 
 1,413,002      Sony Corp   108,295 
 5,971   *  Tempur Sealy International, Inc   533 
 3,073      VF Corp   216 
        TOTAL CONSUMER DURABLES & APPAREL   615,399 
              
CONSUMER SERVICES - 1.7%    
 6,850   *  Bright Horizons Family Solutions   1,041 
 4,577,145   e  Carnival Corp   69,481 
 22,153   *  Chegg, Inc   1,583 
 198,243   *  Chipotle Mexican Grill, Inc (Class A)   246,557 
 6,941      Domino’s Pizza, Inc   2,952 
 11,941   e  Dunkin Brands Group, Inc   978 
 263,175   *  Flutter Entertainment plc   41,456 
 963   *  frontdoor, Inc   37 
 23,050      H&R Block, Inc   376 
 204,922      Hilton Worldwide Holdings, Inc   17,484 
 917,897      Las Vegas Sands Corp   42,829 
 19,498      McDonald’s Corp   4,280 
 7,808   *  Planet Fitness, Inc   481 
 1,608,199      Starbucks Corp   138,176 
 262      Vail Resorts, Inc   56 
 31,764      Wendy’s   708 
 4,049      Wynn Resorts Ltd   291 
 3,915      Yum China Holdings, Inc   207 
 4,557      Yum! Brands, Inc   416 
        TOTAL CONSUMER SERVICES   569,389 
254

COLLEGE RETIREMENT EQUITIES FUND - Growth Account

 

SHARES      COMPANY  VALUE
(000)
 
DIVERSIFIED FINANCIALS - 3.4%    
 277,863      Apollo Global Management, Inc  $12,434 
 16,198      Ares Management Corp   655 
 1,792      Carlyle Group, Inc   44 
 4,166      CBOE Global Markets, Inc   366 
 112   *,e  Credit Acceptance Corp   38 
 6,705      Factset Research Systems, Inc   2,245 
 1,424,461      Intercontinental Exchange Group, Inc   142,517 
 1,609,500      iShares Russell 1000 Growth Index Fund   349,084 
 1,010      LPL Financial Holdings, Inc   77 
 6,590      MarketAxess Holdings, Inc   3,174 
 29,227      Moody’s Corp   8,471 
 3,255      Morningstar, Inc   523 
 14,664      MSCI, Inc (Class A)   5,232 
 1,191,512   *  Ribbit LEAP Ltd   15,490 
 1,488,995      S&P Global, Inc   536,932 
 6,096      SLM Corp   49 
 10,339      T Rowe Price Group, Inc   1,326 
 13,526      Tradeweb Markets, Inc   785 
 8,029      Virtu Financial, Inc   185 
 956,758      Voya Financial, Inc   45,857 
        TOTAL DIVERSIFIED FINANCIALS   1,125,484 
              
ENERGY - 0.0%    
 40,713   *  Cheniere Energy, Inc   1,884 
 8,056      Equitrans Midstream Corp   68 
        TOTAL ENERGY   1,952 
              
FOOD & STAPLES RETAILING - 1.6%    
 3,266   *,e  Albertsons Cos, Inc   45 
 1,221,436      Costco Wholesale Corp   433,610 
 5,842   *  Grocery Outlet Holding Corp   230 
 15,987   *  Sprouts Farmers Market, Inc   334 
 63,272      SYSCO Corp   3,937 
 721,312      Walmart, Inc   100,919 
        TOTAL FOOD & STAPLES RETAILING   539,075 
              
FOOD, BEVERAGE & TOBACCO - 1.5%    
 146,039      Altria Group, Inc   5,643 
 7,472   *,e  Beyond Meat, Inc   1,241 
 1,569   *  Boston Beer Co, Inc (Class A)   1,386 
 6,822      Brown-Forman Corp (Class A)   468 
 27,926      Brown-Forman Corp (Class B)   2,103 
 16,435      Campbell Soup Co   795 
 408,519      Coca-Cola Co   20,169 
 144,518      Constellation Brands, Inc (Class A)   27,388 
 6,897,816      Davide Campari-Milano NV   75,286 
 1,379,943      Fevertree Drinks plc   41,239 
 20,236      Hershey Co   2,901 
 14,371      Kellogg Co   928 
 2,094,637      Keurig Dr Pepper, Inc   57,812 
 5,727      Lamb Weston Holdings, Inc   379 
 12,165      McCormick & Co, Inc   2,361 
255

COLLEGE RETIREMENT EQUITIES FUND - Growth Account

 

SHARES      COMPANY  VALUE
(000)
 
 2,785,069   *  Monster Beverage Corp  $223,362 
 183,116      PepsiCo, Inc   25,380 
 3,848   *  Pilgrim’s Pride Corp   58 
        TOTAL FOOD, BEVERAGE & TOBACCO   488,899 
              
HEALTH CARE EQUIPMENT & SERVICES - 4.0%    
 119,260      Abbott Laboratories   12,979 
 7,882   *  Abiomed, Inc   2,184 
 1,016,151      Alcon, Inc   57,611 
 1,849,493      Alcon, Inc (XNYS)   105,329 
 346,656   *  Align Technology, Inc   113,481 
 5,574   *  Amedisys, Inc   1,318 
 12,106      AmerisourceBergen Corp   1,173 
 12,277      Anthem, Inc   3,297 
 38,484      Baxter International, Inc   3,095 
 5,743,751   *  Boston Scientific Corp   219,469 
 52,729      Cardinal Health, Inc   2,476 
 30,459   *  Centene Corp   1,777 
 53,689      Cerner Corp   3,881 
 27,493   *  Change Healthcare, Inc   399 
 2,772      Chemed Corp   1,332 
 572,472      Cigna Corp   96,983 
 1,199      Cooper Cos, Inc   404 
 831,404      CVS Health Corp   48,554 
 1,969   *  DaVita, Inc   169 
 16,566   *  DexCom, Inc   6,829 
 111,073   *  Edwards Lifesciences Corp   8,866 
 6,706      Encompass Health Corp   436 
 1,459,475   *  Guardant Health, Inc   163,140 
 8,147   *  Haemonetics Corp   711 
 25,063      HCA Healthcare, Inc   3,125 
 985      Hill-Rom Holdings, Inc   82 
 32,006   *  Hologic, Inc   2,127 
 8,926      Humana, Inc   3,694 
 687   *  ICU Medical, Inc   126 
 15,382   *  IDEXX Laboratories, Inc   6,047 
 11,755   *  Insulet Corp   2,781 
 479,296   *  Intuitive Surgical, Inc   340,080 
 730   *  Laboratory Corp of America Holdings   137 
 9,777   *  Livongo Health, Inc   1,369 
 8,698   *  Masimo Corp   2,053 
 22,061      McKesson Corp   3,286 
 7,110   *  Molina Healthcare, Inc   1,301 
 17,788   *  Novocure Ltd   1,980 
 1,701   *  Oak Street Health, Inc   91 
 6,023   *  Penumbra, Inc   1,171 
 22,572   *  PPD, Inc   835 
 6,388   *  Quidel Corp   1,401 
 25,733      Resmed, Inc   4,411 
 572      STERIS plc   101 
 20,533      Stryker Corp   4,278 
 9,333   *  Tandem Diabetes Care, Inc   1,059 
 11,869   *,e  Teladoc, Inc   2,602 
 5,263      Teleflex, Inc   1,792 
256

COLLEGE RETIREMENT EQUITIES FUND - Growth Account

 

SHARES      COMPANY  VALUE
(000)
 
 141,018      UnitedHealth Group, Inc  $43,965 
 2,036   *  Varian Medical Systems, Inc   350 
 24,027   *  Veeva Systems, Inc   6,756 
 13,197      West Pharmaceutical Services, Inc   3,628 
        TOTAL HEALTH CARE EQUIPMENT & SERVICES   1,296,521 
              
HOUSEHOLD & PERSONAL PRODUCTS - 0.5%    
 44,180      Church & Dwight Co, Inc   4,140 
 16,369      Clorox Co   3,440 
 8,578      Energizer Holdings, Inc   336 
 525,317      Estee Lauder Cos (Class A)   114,651 
 3,039   *  Herbalife Nutrition Ltd   142 
 195,245      Procter & Gamble Co   27,137 
 2,878      Reynolds Consumer Products Inc   88 
        TOTAL HOUSEHOLD & PERSONAL PRODUCTS   149,934 
              
INSURANCE - 0.1%    
 140      Alleghany Corp   73 
 41,963      Aon plc   8,657 
 1,504      Axis Capital Holdings Ltd   66 
 812      Brown & Brown, Inc   37 
 2,668      Erie Indemnity Co (Class A)   561 
 678   *  GoHealth, Inc   9 
 2,575      Lincoln National Corp   81 
 70,868      Marsh & McLennan Cos, Inc   8,128 
 4,645      Primerica, Inc   525 
 30,837      Progressive Corp   2,919 
 3,067      RenaissanceRe Holdings Ltd   521 
        TOTAL INSURANCE   21,577 
              
MATERIALS - 1.0%    
 4,852      Air Products & Chemicals, Inc   1,445 
 43,596      Amcor plc   482 
 6,707      Avery Dennison Corp   857 
 54,748      Ball Corp   4,551 
 8,020   *  Berry Global Group, Inc   388 
 3,036   *  Crown Holdings, Inc   233 
 9,067      Ecolab, Inc   1,812 
 4,461      FMC Corp   472 
 6,402      Graphic Packaging Holding Co   90 
 609,413      Linde plc   145,120 
 797      NewMarket Corp   273 
 9,171      Royal Gold, Inc   1,102 
 19,755      RPM International, Inc   1,637 
 7,010      Scotts Miracle-Gro Co (Class A)   1,072 
 250,942      Sherwin-Williams Co   174,841 
 2,614      WR Grace and Co   105 
        TOTAL MATERIALS   334,480 
              
MEDIA & ENTERTAINMENT - 13.6%    
 53,655      Activision Blizzard, Inc   4,343 
 244,517   *  Alphabet, Inc (Class A)   358,364 
 694,067   *  Alphabet, Inc (Class C)   1,020,001 
 55,943   *  Altice USA, Inc   1,454 
257

COLLEGE RETIREMENT EQUITIES FUND - Growth Account

 

SHARES      COMPANY  VALUE
(000)
 
 946      Cable One, Inc  $1,784 
 24,238   *  Charter Communications, Inc   15,133 
 1,207,933   *  Electronic Arts, Inc   157,526 
 5,779,670   *  Facebook, Inc   1,513,696 
 900,197   *  JDE Peet’s BV   36,608 
 2,468   *  Liberty SiriusXM Group (Class A)   82 
 4,756   *  Liberty SiriusXM Group (Class C)   157 
 26,860   *  Live Nation, Inc   1,447 
 3,392,035   *  Match Group, Inc   375,329 
 577,077   *  Netflix, Inc   288,556 
 5,219      Nexstar Media Group Inc   469 
 59,446   *  Pinterest, Inc   2,468 
 19,245   *  Roku, Inc   3,633 
 148,816   e  Sirius XM Holdings, Inc   798 
 23,567   *  Spotify Technology S.A.   5,717 
 18,428   *  Take-Two Interactive Software, Inc   3,045 
 2,031,814      Tencent Holdings Ltd   137,236 
 5,302,874   *  Twitter, Inc   235,978 
 2,260,660      Walt Disney Co   280,503 
 7,944      World Wrestling Entertainment, Inc (Class A)   321 
 1,412   *  Zillow Group, Inc (Class A)   143 
 3,362   *  Zillow Group, Inc (Class C)   341 
 130,056   *  Zynga, Inc   1,186 
        TOTAL MEDIA & ENTERTAINMENT   4,446,318 
              
PHARMACEUTICALS, BIOTECHNOLOGY & LIFE SCIENCES - 11.5%    
 349,986   *  10X Genomics, Inc   43,636 
 3,406,710      AbbVie, Inc   298,394 
 19,232   *  Acadia Pharmaceuticals, Inc   793 
 8,383   *  Acceleron Pharma, Inc   943 
 13,398   *  Adaptive Biotechnologies Corp   652 
 4,862      Agilent Technologies, Inc   491 
 1,273   *  Agios Pharmaceuticals, Inc   45 
 5,999   *  Alexion Pharmaceuticals, Inc   687 
 20,805   *  Alnylam Pharmaceuticals, Inc   3,029 
 533,987      Amgen, Inc   135,718 
 4,144,521      AstraZeneca plc   452,849 
 13,722,943   *  Avantor, Inc   308,629 
 965   *  Berkeley Lights, Inc   74 
 8,769   *  Biogen, Inc   2,488 
 320,731   *  BioMarin Pharmaceutical, Inc   24,401 
 6,233      Bio-Techne Corp   1,544 
 4,750   *  Bluebird Bio, Inc   256 
 147,843      Bristol-Myers Squibb Co   8,913 
 7,486      Bruker BioSciences Corp   298 
 8,194   *  Charles River Laboratories International, Inc   1,856 
 2,088,029      Eli Lilly & Co   309,070 
 23,289   *  Exact Sciences Corp   2,374 
 18,122   *  Exelixis, Inc   443 
 9,782   *  Global Blood Therapeutics, Inc   539 
 544,376   *  Horizon Therapeutics Plc   42,287 
 982,914   *  Illumina, Inc   303,799 
 37,558   *  Immunomedics, Inc   3,194 
 33,320   *  Incyte Corp   2,990 
258

COLLEGE RETIREMENT EQUITIES FUND - Growth Account

 

SHARES      COMPANY  VALUE
(000)
 
 10,730   *  Ionis Pharmaceuticals, Inc  $509 
 22,477   *  Iovance Biotherapeutics, Inc   740 
 619,882   *  IQVIA Holdings, Inc   97,712 
 63,350      Johnson & Johnson   9,432 
 399,163      Lonza Group AG.   246,338 
 397,399      Merck & Co, Inc   32,964 
 3,991   *  Mettler-Toledo International, Inc   3,854 
 51,780   *  Moderna, Inc   3,663 
 16,776   *  Neurocrine Biosciences, Inc   1,613 
 3,976   *  PerkinElmer, Inc   499 
 9,526   *  PRA Health Sciences, Inc   966 
 3,162   *  Reata Pharmaceuticals, Inc   308 
 443,927   *  Regeneron Pharmaceuticals, Inc   248,501 
 9,261   *  Repligen Corp   1,366 
 6,799      Royalty Pharma plc   286 
 768   *  Sage Therapeutics, Inc   47 
 13,414   *  Sarepta Therapeutics, Inc   1,884 
 514,842   *  Seattle Genetics, Inc   100,749 
 1,516   *  Syneos Health, Inc   81 
 41,638      Thermo Fisher Scientific, Inc   18,384 
 1,171,828   *  Vertex Pharmaceuticals, Inc   318,878 
 613   *  Waters Corp   120 
 6,652,503   *,g  Wuxi Biologics Cayman, Inc   163,040 
 3,227,132      Zoetis, Inc   533,671 
        TOTAL PHARMACEUTICALS, BIOTECHNOLOGY & LIFE SCIENCES   3,735,997 
              
REAL ESTATE - 0.2%    
 79,440      American Tower Corp   19,203 
 1,952      Americold Realty Trust   70 
 2,065   e  Brookfield Property REIT, Inc   25 
 4,326      Coresite Realty   514 
 69,878      Crown Castle International Corp   11,635 
 15,800      Equinix, Inc   12,010 
 13,288      Equity Lifestyle Properties, Inc   815 
 15,979      Extra Space Storage, Inc   1,710 
 29,658   e  Iron Mountain, Inc   794 
 18,316      Public Storage, Inc   4,079 
 2,768      SBA Communications Corp   882 
 41,874      Simon Property Group, Inc   2,708 
        TOTAL REAL ESTATE   54,445 
              
RETAILING - 12.0%    
 764,152   *  Amazon.com, Inc   2,406,108 
 1,366,602   *  ASOS plc   90,737 
 2,527   *  AutoZone, Inc   2,976 
 7,555      Best Buy Co, Inc   841 
 214,401   *  Booking Holdings, Inc   366,771 
 10,276   *  Burlington Stores, Inc   2,118 
 1,655,430   *  CarMax, Inc   152,151 
 9,914   *  Carvana Co   2,211 
 45,134      Dollar General Corp   9,461 
 21,220   *  Dollar Tree, Inc   1,938 
 451,066      eBay, Inc   23,501 
 21,596   *  Etsy, Inc   2,627 
259

COLLEGE RETIREMENT EQUITIES FUND - Growth Account

 

SHARES      COMPANY  VALUE
(000)
 
 3,367      Expedia Group, Inc  $309 
 2,777,343   *  Farfetch Ltd   69,878 
 9,420   *  Five Below, Inc   1,196 
 16,017   *  Floor & Decor Holdings, Inc   1,198 
 1,655,509   *  GrubHub, Inc   119,743 
 254,524      Home Depot, Inc   70,684 
 2,359,301   *  JD.com, Inc (ADR)   183,105 
 1,183,066      Lowe’s Companies, Inc   196,223 
 8,454   *,e  Ollie’s Bargain Outlet Holdings, Inc   738 
 13,463   *  O’Reilly Automotive, Inc   6,208 
 6,917      Pool Corp   2,314 
 51,693      Ross Stores, Inc   4,824 
 2,057,125      TJX Companies, Inc   114,479 
 20,823      Tractor Supply Co   2,985 
 1,933,330   *  Trip.com Group Ltd (ADR)   60,204 
 9,078   *  Ulta Beauty, Inc   2,033 
 3,623   *  Vroom, Inc   188 
 10,898   *,e  Wayfair, Inc   3,171 
 1,753      Williams-Sonoma, Inc   159 
        TOTAL RETAILING   3,901,079 
              
SEMICONDUCTORS & SEMICONDUCTOR EQUIPMENT - 8.4%    
 2,548,737   *  Advanced Micro Devices, Inc   208,971 
 7,938      Analog Devices, Inc   927 
 4,798,022      Applied Materials, Inc   285,242 
 571,981      Broadcom, Inc   208,384 
 18,426   *  Enphase Energy, Inc   1,522 
 22,442      Entegris, Inc   1,668 
 8,752   *  Inphi Corp   982 
 940,792      Intel Corp   48,714 
 27,917      KLA Corp   5,409 
 329,980      Lam Research Corp   109,471 
 6,112,933      Marvell Technology Group Ltd   242,683 
 16,664      Maxim Integrated Products, Inc   1,127 
 32,792      Microchip Technology, Inc   3,370 
 7,402      MKS Instruments, Inc   809 
 8,031      Monolithic Power Systems, Inc   2,246 
 1,326,528      NVIDIA Corp   717,943 
 2,028,858      NXP Semiconductors NV   253,222 
 2,515,218      QUALCOMM, Inc   295,991 
 964,501      Skyworks Solutions, Inc   140,335 
 8,951   *  SolarEdge Technologies, Inc   2,133 
 1,820,796   *  Taiwan Semiconductor Manufacturing Co Ltd (ADR)   147,612 
 30,013      Teradyne, Inc   2,385 
 401,076      Texas Instruments, Inc   57,270 
 7,482      Universal Display Corp   1,352 
 43,432      Xilinx, Inc   4,527 
        TOTAL SEMICONDUCTORS & SEMICONDUCTOR EQUIPMENT   2,744,295 
              
SOFTWARE & SERVICES - 23.4%    
 1,903   *  2U, Inc   64 
 114,558      Accenture plc   25,889 
 729,522   *  Adobe, Inc   357,780 
 205,453   *,g  Adyen NV   378,955 
260

COLLEGE RETIREMENT EQUITIES FUND - Growth Account

 

SHARES      COMPANY  VALUE
(000)
 
 24,028   *  Akamai Technologies, Inc  $2,656 
 9,516   *,e  Alteryx, Inc   1,081 
 22,892   *  Anaplan, Inc   1,433 
 15,296   *  Ansys, Inc   5,005 
 11,159   *  Aspen Technology, Inc   1,413 
 445,751   *  Atlassian Corp plc   81,033 
 26,288   *  Autodesk, Inc   6,073 
 66,907      Automatic Data Processing, Inc   9,333 
 15,313   *  Avalara, Inc   1,950 
 1,369   *  BigCommerce Holdings, Inc   114 
 9,210   *  Bill.Com Holdings, Inc   924 
 26,512   *  Black Knight, Inc   2,308 
 24,601      Booz Allen Hamilton Holding Co   2,041 
 20,950      Broadridge Financial Solutions, Inc   2,765 
 971   *  CACI International, Inc (Class A)   207 
 49,318   *  Cadence Design Systems, Inc   5,259 
 2,639      CDK Global, Inc   115 
 13,866   *  Ceridian HCM Holding, Inc   1,146 
 5,976      Citrix Systems, Inc   823 
 18,838   *  Cloudflare, Inc   774 
 7,202      Cognizant Technology Solutions Corp (Class A)   500 
 368      CoreLogic Inc   25 
 11,936   *  Coupa Software, Inc   3,273 
 19,842   *  Crowdstrike Holdings, Inc   2,725 
 27,830   *  Datadog, Inc   2,843 
 31,992   *  DocuSign, Inc   6,886 
 46,427   *  Dropbox, Inc   894 
 2,211   *  Duck Creek Technologies, Inc   100 
 30,438   *  Dynatrace, Inc   1,249 
 12,127   *  Elastic NV   1,308 
 9,697   *  EPAM Systems, Inc   3,135 
 6,059   *  Everbridge, Inc   762 
 5,288   *  Fair Isaac Corp   2,249 
 13,529   *  Fastly, Inc   1,267 
 10,976   *  FireEye, Inc   136 
 30,652   *  Fiserv, Inc   3,159 
 11,496   *  Five9, Inc   1,491 
 14,846   *  FleetCor Technologies, Inc   3,535 
 24,329   *  Fortinet, Inc   2,866 
 16,099   *  Gartner, Inc   2,012 
 13,797      Genpact Ltd   537 
 6,691   *  Globant S.A.   1,199 
 29,817   *  GoDaddy, Inc   2,265 
 2,651   *  Guidewire Software, Inc   276 
 7,555   *  HubSpot, Inc   2,208 
 1,704,544      Intuit, Inc   556,039 
 10,924      Jack Henry & Associates, Inc   1,776 
 1,831   *,e  Jamf Holding Corp   69 
 3,030      Leidos Holdings, Inc   270 
 10,305   *  Manhattan Associates, Inc   984 
 946,318      Mastercard, Inc (Class A)   320,016 
 14,514   *,e  Medallia, Inc   398 
 8,933,182      Microsoft Corp   1,878,916 
 9,350   *  MongoDB, Inc   2,165 
261

COLLEGE RETIREMENT EQUITIES FUND - Growth Account

 

SHARES      COMPANY  VALUE
(000)
 
 1,193   *,e  nCino, Inc  $95 
 9,373   *  New Relic, Inc   528 
 98,338      NortonLifelock, Inc   2,049 
 34,100   *  Nutanix, Inc   756 
 20,696   *  Okta, Inc   4,426 
 304,102      Oracle Corp   18,155 
 11,658   *,e  Pagerduty, Inc   316 
 16,913   *  Palo Alto Networks, Inc   4,139 
 46,421      Paychex, Inc   3,703 
 8,866   *  Paycom Software, Inc   2,760 
 6,264   *  Paylocity Holding Corp   1,011 
 4,885,971   *  PayPal Holdings, Inc   962,683 
 6,003      Pegasystems, Inc   727 
 15,406   *  Pluralsight, Inc   264 
 10,198   *  Proofpoint, Inc   1,076 
 19,277   *  PTC, Inc   1,595 
 13,693   *  RealPage, Inc   789 
 13,966   *  RingCentral, Inc   3,835 
 4,435,430   *  salesforce.com, Inc   1,114,712 
 1,732      Science Applications International Corp   136 
 666,695   *  ServiceNow, Inc   323,347 
 2,888,994   *,e  Slack Technologies, Inc   77,598 
 20,205   *  Smartsheet, Inc   999 
 176,324   *  Splunk, Inc   33,172 
 563,179   *  Square, Inc   91,545 
 9,669      SS&C Technologies Holdings, Inc   585 
 32,890   *  StoneCo Ltd   1,740 
 17,525      Switch, Inc   274 
 453,282   *  Synopsys, Inc   96,993 
 13,894   *,e  Teradata Corp   315 
 7,436   *  Trade Desk, Inc   3,858 
 581,284   *  Twilio, Inc   143,630 
 7,162   *  Tyler Technologies, Inc   2,496 
 10,904   *  VeriSign, Inc   2,234 
 4,970,560      Visa, Inc (Class A)   993,963 
 13,958   e  VMware, Inc (Class A)   2,005 
 13,492      Western Union Co   289 
 301   *  WEX, Inc   42 
 30,876   *  Workday, Inc   6,642 
 21,408   *  Zendesk, Inc   2,203 
 30,069   *  Zoom Video Communications, Inc   14,136 
 12,285   *  Zscaler, Inc   1,728 
        TOTAL SOFTWARE & SERVICES   7,620,223 
              
TECHNOLOGY HARDWARE & EQUIPMENT - 5.8%    
 31,462      Amphenol Corp (Class A)   3,406 
 15,953,504      Apple, Inc   1,847,575 
 8,674   *  Arista Networks, Inc   1,795 
 25,951      CDW Corp   3,102 
 29,709      Cognex Corp   1,934 
 3,692   *  Coherent, Inc   410 
 2,800   *  CommScope Holding Co, Inc   25 
 2,265   *  Dell Technologies, Inc   153 
 404      Dolby Laboratories, Inc (Class A)   27 
262

COLLEGE RETIREMENT EQUITIES FUND - Growth Account

 

SHARES      COMPANY  VALUE
(000)
 
 530   *  IPG Photonics Corp  $90 
 6,385      Jabil Inc   219 
 11,341   *  Keysight Technologies, Inc   1,120 
 1,841   *  Lumentum Holdings, Inc   138 
 3,548      Motorola Solutions, Inc   556 
 22,727      NetApp, Inc   996 
 30,336   *  Pure Storage, Inc   467 
 1,262,400   e  Telefonaktiebolaget Lm Ericsson (ADR)   13,748 
 999      Ubiquiti, Inc   167 
 8,646   *  Zebra Technologies Corp (Class A)   2,183 
        TOTAL TECHNOLOGY HARDWARE & EQUIPMENT   1,878,111 
              
TELECOMMUNICATION SERVICES - 1.6%    
 1,105,272   g  Cellnex Telecom SAU   67,093 
 482,827   *  GoodRx Holdings, Inc   26,845 
 2,261,013   *  IAC   270,824 
 1,427,803   *  T-Mobile US, Inc   163,284 
        TOTAL TELECOMMUNICATION SERVICES   528,046 
              
TRANSPORTATION - 1.1%    
 3,512      CH Robinson Worldwide, Inc   359 
 17,503      Expeditors International of Washington, Inc   1,584 
 4,293      JB Hunt Transport Services, Inc   543 
 544,469      Kansas City Southern   98,456 
 5,152      Landstar System, Inc   647 
 831,404   *,e  Lyft, Inc (Class A)   22,905 
 15,378      Old Dominion Freight Line   2,782 
 5,708,679   *  Uber Technologies, Inc   208,253 
 62,408      Union Pacific Corp   12,286 
 83,773      United Parcel Service, Inc (Class B)   13,959 
 1,080   *  XPO Logistics, Inc   92 
        TOTAL TRANSPORTATION   361,866 
              
UTILITIES - 0.0%    
 15,973      NRG Energy, Inc   491 
        TOTAL UTILITIES   491 
              
        TOTAL COMMON STOCKS   32,454,866 
        (Cost $21,879,164)     

 

PRINCIPAL    ISSUER  RATE  MATURITY
DATE
      
SHORT-TERM INVESTMENTS - 0.6%          
                     
GOVERNMENT AGENCY DEBT - 0.0%          
$3,249,000     Federal Home Loan Bank (FHLB)   0.085-0.095%  10/19/20   3,249 
       TOTAL GOVERNMENT AGENCY DEBT           3,249 
                     
TREASURY DEBT - 0.4%          
 51,525,000     United States Treasury Bill   0.052-0.060   10/06/20   51,525 
 50,000,000     United States Treasury Bill   0.065   10/15/20   49,998 
       TOTAL TREASURY DEBT           101,523 
263

COLLEGE RETIREMENT EQUITIES FUND - Growth Account

 

SHARES     COMPANY          VALUE
(000)
 
INVESTMENTS IN REGISTERED INVESTMENT COMPANIES - 0.2%          
 74,658,293  c  State Street Navigator Securities Lending Government Money Market Portfolio  $74,658 
       TOTAL INVESTMENTS IN REGISTERED INVESTMENT COMPANIES     74,658 
                     
       TOTAL SHORT-TERM INVESTMENTS           179,430 
       (Cost $179,430)             
       TOTAL INVESTMENTS - 100.1%           32,634,296 
       (Cost $22,058,594)             
       OTHER ASSETS & LIABILITIES, NET - (0.1)%           (31,729)
       NET ASSETS - 100.0%          $32,602,567 

 

       
    Abbreviation(s):
    ADR   American Depositary Receipt
    REIT   Real Estate Investment Trust
     
*   Non-income producing
c Investments made with cash collateral received from securities on loan.
e All or a portion of these securities are out on loan. The aggregate value of securities on loan is $85,953,552.
g Security is exempt from registration under Rule 144(A) of the Securities Act of 1933, as amended. Such securities are deemed liquid and may be resold in transactions exempt from registration to qualified institutional buyers. At 9/30/20, the aggregate value of these securities is $609,087,384 or 1.9% of net assets.
     
    Cost amounts are in thousands.
264

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

COLLEGE RETIREMENT EQUITIES FUND

EQUITY INDEX ACCOUNT

SCHEDULE OF INVESTMENTS (unaudited)

September 30, 2020

 

       VALUE 
SHARES       COMPANY  (000) 
COMMON STOCKS - 99.6%       
                
AUTOMOBILES & COMPONENTS - 1.4%     
 28,140   *  Adient plc  $488 
 60,325   *  American Axle & Manufacturing Holdings, Inc   348 
 159,418      Aptiv plc   14,615 
 117,898      BorgWarner, Inc   4,567 
 30,001      Cooper Tire & Rubber Co   951 
 12,534   *  Cooper-Standard Holding, Inc   166 
 76,541      Dana Inc   943 
 12,642   *  Dorman Products, Inc   1,143 
 2,287,390      Ford Motor Co   15,234 
 25,297   *  Fox Factory Holding Corp   1,880 
 724,466      General Motors Co   21,437 
 125,049      Gentex Corp   3,220 
 26,543   *  Gentherm, Inc   1,086 
 137,668      Goodyear Tire & Rubber Co   1,056 
 99,714      Harley-Davidson, Inc   2,447 
 17,506      LCI Industries, Inc   1,861 
 34,172      Lear Corp   3,726 
 36,302   *  Modine Manufacturing Co   227 
 13,147   *,e  Motorcar Parts of America, Inc   204 
 6,449      Standard Motor Products, Inc   288 
 20,247   *  Stoneridge, Inc   372 
 28,062   *  Tenneco, Inc   195 
 430,408   *  Tesla, Inc   184,649 
 33,002      Thor Industries, Inc   3,144 
 16,494   *  Visteon Corp   1,142 
 22,457      Winnebago Industries, Inc   1,160 
 37,702   *,e  Workhorse Group, Inc   953 
 9,934   *  XPEL, Inc   259 
        TOTAL AUTOMOBILES & COMPONENTS   267,761 
              
BANKS - 3.5%     
 12,408      1st Source Corp   383 
 4,570      ACNB Corp   95 
 7,958      Allegiance Bancshares, Inc   186 
 9,341      Altabancorp   188 
 12,491   *  Amerant Bancorp Inc   116 
 5,882      American National Bankshares, Inc   123 
 38,500      Ameris Bancorp   877 
 7,069      Ames National Corp   119 
 8,681      Arrow Financial Corp   218 
 48,087      Associated Banc-Corp   607 
 14,762   *  Atlantic Capital Bancshares, Inc   168 
 42,326      Atlantic Union Bankshares Corp   905 
 43,167   *  Axos Financial, Inc   1,006 
 31,112      Banc of California, Inc   315 
 11,574      Bancfirst Corp   473 
265

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

       VALUE 
SHARES     COMPANY  (000) 
 62,103      BancorpSouth Bank  $1,204 
 3,732      Bank First Corp   219 
 4,493,415      Bank of America Corp   108,246 
 11,787      Bank of Commerce Holdings   82 
 23,380      Bank of Hawaii Corp   1,181 
 7,728      Bank of Marin Bancorp   224 
 13,738      Bank of NT Butterfield & Son Ltd   306 
 82,422      Bank OZK   1,757 
 12,265      BankFinancial Corp   89 
 56,051      BankUnited   1,228 
 3,897      Bankwell Financial Group, Inc   55 
 23,725      Banner Corp   765 
 11,016      Bar Harbor Bankshares   226 
 6,936   *  Baycom Corp   71 
 7,059      BCB Bancorp, Inc   56 
 26,834      Berkshire Hills Bancorp, Inc   271 
 8,897   *  Bluegreen Vacations Holding Corp   119 
 15,941   e  BOK Financial Corp   821 
 59,217      Boston Private Financial Holdings, Inc   327 
 13,328      Bridge Bancorp, Inc   232 
 54,590      Brookline Bancorp, Inc   472 
 12,987      Bryn Mawr Bank Corp   323 
 6,436      Business First Bancshares, Inc   97 
 5,576   e  Byline Bancorp, Inc   63 
 2,353      C&F Financial Corp   70 
 65,383      Cadence BanCorp   562 
 2,502      Cambridge Bancorp   133 
 11,436      Camden National Corp   346 
 9,158      Capital City Bank Group, Inc   172 
 92,364      Capitol Federal Financial   856 
 5,956      Capstar Financial Holdings, Inc   58 
 14,623      Carter Bank & Trust   97 
 40,414      Cathay General Bancorp   876 
 12,633      CBTX, Inc   206 
 21,511      Central Pacific Financial Corp   292 
 6,214      Central Valley Community Bancorp   77 
 2,245      Century Bancorp, Inc   148 
 2,189      Chemung Financial Corp   63 
 49,642      CIT Group, Inc   879 
 1,200,720      Citigroup, Inc   51,763 
 9,568      Citizens & Northern Corp   155 
 254,905      Citizens Financial Group, Inc   6,444 
 10,955      City Holding Co   631 
 7,262      Civista Bancshares, Inc   91 
 9,772      CNB Financial Corp   145 
 6,775      Codorus Valley Bancorp, Inc   89 
 51,998      Columbia Banking System, Inc   1,240 
 33,673   *  Columbia Financial, Inc   374 
 83,206      Comerica, Inc   3,183 
 61,969      Commerce Bancshares, Inc   3,488 
 35,397      Community Bank System, Inc   1,928 
 15,668      Community Bankers Trust Corp   80 
 2,846      Community Financial Corp   61 
 11,638      Community Trust Bancorp, Inc   329 
266

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

       VALUE 
SHARES     COMPANY  (000) 
 21,722      ConnectOne Bancorp, Inc  $306 
 29,153   *,e  CrossFirst Bankshares, Inc   253 
 33,515      Cullen/Frost Bankers, Inc   2,143 
 19,196   *  Customers Bancorp, Inc   215 
 75,634      CVB Financial Corp   1,258 
 23,810      Dime Community Bancshares   269 
 22,688      Eagle Bancorp, Inc   608 
 93,759      East West Bancorp, Inc   3,070 
 6,481      Enterprise Bancorp, Inc   136 
 16,077      Enterprise Financial Services Corp   438 
 7,477   *  Equity Bancshares, Inc   116 
 6,121      ESSA Bancorp, Inc   75 
 64,560      Essent Group Ltd   2,389 
 3,168      Evans Bancorp, Inc   70 
 6,654   e  Farmers & Merchants Bancorp, Inc   133 
 18,150      Farmers National Banc Corp   198 
 13,107      FB Financial Corp   329 
 6,481      Federal Agricultural Mortgage Corp (FAMC)   413 
 419,394      Fifth Third Bancorp   8,941 
 10,211      Financial Institutions, Inc   157 
 20,427      First Bancorp (NC)   428 
 114,850      First Bancorp (Puerto Rico)   600 
 6,485      First Bancorp, Inc   137 
 6,018      First Bancshares, Inc   126 
 26,747      First Busey Corp   425 
 6,176      First Business Financial Services, Inc   88 
 3,874      First Citizens Bancshares, Inc (Class A)   1,235 
 69,402      First Commonwealth Financial Corp   537 
 12,139      First Community Bancshares, Inc   219 
 42,129      First Financial Bancorp   506 
 76,885      First Financial Bankshares, Inc   2,146 
 8,330      First Financial Corp   262 
 19,660      First Foundation, Inc   257 
 3,324      First Guaranty Bancshares, Inc   40 
 71,845      First Hawaiian, Inc   1,040 
 308,284      First Horizon National Corp   2,907 
 4,089      First Internet Bancorp   60 
 18,329      First Interstate Bancsystem, Inc   584 
 29,933      First Merchants Corp   693 
 7,120      First Mid-Illinois Bancshares, Inc   178 
 26,566      First Midwest Bancorp, Inc   286 
 7,602      First Northwest Bancorp   75 
 15,462      First of Long Island Corp   229 
 102,702      First Republic Bank   11,201 
 15,789      Flagstar Bancorp, Inc   468 
 20,105      Flushing Financial Corp   211 
 181,165      FNB Corp   1,228 
 84,379      Fulton Financial Corp   787 
 14,703      German American Bancorp, Inc   399 
 55,696      Glacier Bancorp, Inc   1,785 
 7,809      Great Southern Bancorp, Inc   283 
 23,192      Great Western Bancorp, Inc   289 
 2,003      Greene County Bancorp, Inc   43 
 1,224      Guaranty Bancshares, Inc   30 
267

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

       VALUE 
SHARES     COMPANY  (000) 
 47,878      Hancock Whitney Corp  $901 
 23,963      Hanmi Financial Corp   197 
 16,668      HarborOne Northeast Bancorp, Inc   135 
 17,800      Heartland Financial USA, Inc   534 
 25,661      Heritage Commerce Corp   171 
 22,188      Heritage Financial Corp   408 
 54,190      Hilltop Holdings, Inc   1,115 
 997      Hingham Institution for Savings   183 
 4,264      Home Bancorp, Inc   103 
 81,882      Home Bancshares, Inc   1,241 
 15,022      HomeStreet, Inc   387 
 13,541      HomeTrust Bancshares, Inc   184 
 38,615      Hope Bancorp, Inc   293 
 23,268      Horizon Bancorp   235 
 6,001   *  Howard Bancorp, Inc   54 
 617,910      Huntington Bancshares, Inc   5,666 
 23,332      Independent Bank Corp (MA)   1,222 
 17,558      Independent Bank Corp (MI)   221 
 20,253      Independent Bank Group, Inc   895 
 40,567      International Bancshares Corp   1,057 
 5,550      Investar Holding Corp   71 
 133,839      Investors Bancorp, Inc   972 
 1,764,409      JPMorgan Chase & Co   169,860 
 83,674      Kearny Financial Corp   603 
 534,261      Keycorp   6,374 
 32,502      Lakeland Bancorp, Inc   323 
 18,387      Lakeland Financial Corp   758 
 6,780      LCNB Corp   93 
 4,628   *,e  LendingTree, Inc   1,420 
 14,926      Live Oak Bancshares, Inc   378 
 70,925      M&T Bank Corp   6,531 
 19,210      Macatawa Bank Corp   125 
 12,428      Mercantile Bank Corp   224 
 10,918      Merchants Bancorp   215 
 35,757      Meridian Bancorp, Inc   370 
 20,574      Meta Financial Group, Inc   395 
 4,420   *  Metropolitan Bank Holding Corp   124 
 210,298      MGIC Investment Corp   1,863 
 10,800      Midland States Bancorp, Inc   139 
 7,821      MidWestOne Financial Group, Inc   140 
 34,360   *  Mr Cooper Group, Inc   767 
 19,324      National Bank Holdings Corp   507 
 5,351      National Bankshares, Inc   136 
 31,726      NBT Bancorp, Inc   851 
 262,028      New York Community Bancorp, Inc   2,167 
 6,480   *,e  Nicolet Bankshares, Inc   354 
 38,864   *  NMI Holdings, Inc   692 
 5,235      Northeast Bank   96 
 33,024      Northfield Bancorp, Inc   301 
 5,019      Northrim BanCorp, Inc   128 
 39,220      Northwest Bancshares, Inc   361 
 4,425   e  Norwood Financial Corp   108 
 30,487      OceanFirst Financial Corp   417 
 33,903      OFG Bancorp   422 
268

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

       VALUE 
SHARES     COMPANY  (000) 
 3,155   e  Ohio Valley Banc Corp  $65 
 90,192      Old National Bancorp   1,133 
 21,667      Old Second Bancorp, Inc   162 
 11,057      Origin Bancorp, Inc   236 
 5,318      Orrstown Financial Services, Inc   68 
 41,564      Pacific Premier Bancorp, Inc   837 
 66,007      PacWest Bancorp   1,127 
 4,350   e  Park National Corp   357 
 4,594      Parke Bancorp, Inc   55 
 13,465      PCSB Financial Corp   163 
 11,582      Peapack Gladstone Financial Corp   175 
 4,446      Penns Woods Bancorp, Inc   88 
 27,635      PennyMac Financial Services, Inc   1,606 
 3,256      Peoples Bancorp of North Carolina, Inc   50 
 12,623      Peoples Bancorp, Inc   241 
 5,712      Peoples Financial Services Corp   199 
 202,790      People’s United Financial, Inc   2,091 
 41,191      Pinnacle Financial Partners, Inc   1,466 
 243,339      PNC Financial Services Group, Inc   26,745 
 35,642      Popular, Inc   1,293 
 8,859      Preferred Bank   285 
 8,456      Premier Financial Bancorp, Inc   91 
 28,197      Premier Financial Corp   439 
 48,715      Prosperity Bancshares, Inc   2,525 
 6,589      Provident Bancorp Inc   51 
 18,723      Provident Financial Services, Inc   228 
 6,101      Prudential Bancorp, Inc   64 
 8,729      QCR Holdings, Inc   239 
 122,609      Radian Group, Inc   1,791 
 9,265      RBB Bancorp   105 
 550,925      Regions Financial Corp   6,352 
 4,712      Reliant Bancorp Inc   68 
 30,881      Renasant Corp   702 
 6,104      Republic Bancorp, Inc (Class A)   172 
 34,776   *  Republic First Bancorp, Inc   69 
 13,238      Riverview Bancorp, Inc   55 
 55,288   *,e  Rocket Cos, Inc   1,102 
 25,676      S&T Bancorp, Inc   454 
 22,606      Sandy Spring Bancorp, Inc   522 
 28,631   *  Seacoast Banking Corp of Florida   516 
 32,848      ServisFirst Bancshares, Inc   1,118 
 8,913      Shore Bancshares, Inc   98 
 8,919      Sierra Bancorp   150 
 34,007      Signature Bank   2,822 
 55,218      Simmons First National Corp (Class A)   875 
 5,382      SmartFinancial, Inc   73 
 43,651      South State Corp   2,102 
 4,079   *  Southern First Bancshares, Inc   99 
 4,139      Southern Missouri Bancorp, Inc   98 
 8,140      Southern National Bancorp of Virginia, Inc   71 
 20,042      Southside Bancshares, Inc   490 
 93,752      Sterling Bancorp   986 
 11,631      Sterling Bancorp, Inc   35 
 16,305      Stock Yards Bancorp, Inc   555 
269

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

          VALUE 
SHARES      COMPANY  (000) 
 6,101      Summit Financial Group, Inc  $90 
 30,747   *  SVB Financial Group   7,398 
 85,330      Synovus Financial Corp   1,806 
 81,693      TCF Financial Corp   1,908 
 5,870      Territorial Bancorp, Inc   119 
 35,836   *  Texas Capital Bancshares, Inc   1,116 
 34,383      TFS Financial Corp   505 
 35,393   *  The Bancorp, Inc   306 
 4,645      Timberland Bancorp, Inc   84 
 10,641      Tompkins Financial Corp   605 
 46,422      Towne Bank   761 
 19,212      Trico Bancshares   470 
 16,178   *  Tristate Capital Holdings, Inc   214 
 10,668   *  Triumph Bancorp, Inc   332 
 793,167      Truist Financial Corp   30,180 
 71,043      Trustco Bank Corp NY   371 
 49,168      Trustmark Corp   1,053 
 26,057      UMB Financial Corp   1,277 
 117,477      Umpqua Holdings Corp   1,248 
 83,649      United Bankshares, Inc   1,796 
 24,332      United Community Banks, Inc   412 
 9,461      United Security Bancshares   58 
 5,346      Unity Bancorp, Inc   62 
 19,117      Univest Financial Corp   275 
 789,290      US Bancorp   28,296 
 196,375      Valley National Bancorp   1,345 
 22,054      Veritex Holdings, Inc   376 
 19,235      Walker & Dunlop, Inc   1,019 
 29,442      Washington Federal, Inc   614 
 10,818      Washington Trust Bancorp, Inc   332 
 19,189      Waterstone Financial, Inc   297 
 32,545      Webster Financial Corp   860 
 2,178,015      Wells Fargo & Co   51,205 
 23,487      WesBanco, Inc   502 
 11,970      West Bancorporation, Inc   190 
 18,981      Westamerica Bancorporation   1,032 
 57,400      Western Alliance Bancorp   1,815 
 19,137      Western New England Bancorp, Inc   108 
 38,890      Wintrust Financial Corp   1,558 
 37,123      WSFS Financial Corp   1,001 
 106,318      Zions Bancorporation   3,107 
        TOTAL BANKS   673,497 
              
CAPITAL GOODS - 5.8%     
 328,034      3M Co   52,544 
 69,666      A.O. Smith Corp   3,678 
 21,498      Aaon, Inc   1,295 
 23,226      AAR Corp   437 
 24,498      Acuity Brands, Inc   2,507 
 24,758      Advanced Drainage Systems, Inc   1,546 
 93,206   *  Aecom Technology Corp   3,900 
 24,436   *  Aegion Corp   345 
 39,078   *  Aerojet Rocketdyne Holdings, Inc   1,559 
 14,335   *  Aerovironment, Inc   860 
270

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

       VALUE 
SHARES     COMPANY  (000) 
 32,215      AGCO Corp  $2,393 
 56,080      Air Lease Corp   1,650 
 6,904      Alamo Group, Inc   746 
 21,082      Albany International Corp (Class A)   1,044 
 53,164      Allegion plc   5,258 
 4,493      Allied Motion Technologies, Inc   185 
 51,690      Allison Transmission Holdings, Inc   1,816 
 41,492      Altra Industrial Motion Corp   1,534 
 13,776   *,e  Ameresco, Inc   460 
 10,171   *  American Woodmark Corp   799 
 129,674      Ametek, Inc   12,890 
 4,581      Apogee Enterprises, Inc   98 
 27,154      Applied Industrial Technologies, Inc   1,496 
 30,718      Arcosa, Inc   1,354 
 10,471      Argan, Inc   439 
 26,334      Armstrong World Industries, Inc   1,812 
 15,250      Astec Industries, Inc   827 
 15,755   *  Astronics Corp   122 
 23,836   *  Atkore International Group, Inc   542 
 35,579   *  Axon Enterprise, Inc   3,227 
 23,304   *  AZEK Co, Inc   811 
 19,364      AZZ, Inc   661 
 25,595      Barnes Group, Inc   915 
 41,684   *  Beacon Roofing Supply, Inc   1,295 
 35,611   *,e  Bloom Energy Corp   640 
 3,946   *  Blue Bird Corp   48 
 47,040   *  BMC Stock Holdings, Inc   2,015 
 311,466      Boeing Co   51,473 
 67,070   *  Builders FirstSource, Inc   2,188 
 56,807      BWX Technologies, Inc   3,199 
 14,163      Caesarstone Sdot-Yam Ltd   139 
 8,775      CAI International, Inc   242 
 27,634      Carlisle Cos, Inc   3,382 
 496,807      Carrier Global Corp   15,172 
 316,101      Caterpillar, Inc   47,146 
 22,344   *  Chart Industries, Inc   1,570 
 12,045   *  CIRCOR International, Inc   329 
 64,286   *  Colfax Corp   2,016 
 14,727   e  Columbus McKinnon Corp   487 
 24,840      Comfort Systems USA, Inc   1,280 
 11,212   *  Construction Partners Inc   204 
 29,151   *  Cornerstone Building Brands, Inc   233 
 18,926      Crane Co   949 
 10,574      CSW Industrials, Inc   817 
 18,660      Cubic Corp   1,085 
 84,848      Cummins, Inc   17,917 
 22,308      Curtiss-Wright Corp   2,080 
 163,197      Deere & Co   36,169 
 71,161      Donaldson Co, Inc   3,303 
 16,771   e  Douglas Dynamics, Inc   574 
 80,236      Dover Corp   8,693 
 8,048   *  Ducommun, Inc   265 
 11,117   *  DXP Enterprises, Inc   179 
 16,954   *  Dycom Industries, Inc   896 
271

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

       VALUE 
SHARES     COMPANY  (000) 
 3,733      Eastern Co  $73 
 233,375      Eaton Corp   23,811 
 28,208      EMCOR Group, Inc   1,910 
 345,535      Emerson Electric Co   22,657 
 15,305      Encore Wire Corp   710 
 24,905   *  Energy Recovery, Inc   204 
 43,959      Enerpac Tool Group Corp   827 
 25,301      EnerSys   1,698 
 8,505      EnPro Industries, Inc   480 
 13,003      ESCO Technologies, Inc   1,048 
 2,576   e  EVI Industries, Inc   69 
 51,314   *  Evoqua Water Technologies Corp   1,089 
 332,215      Fastenal Co   14,980 
 42,557      Federal Signal Corp   1,245 
 82,555      Flowserve Corp   2,253 
 91,070      Fluor Corp   802 
 175,635      Fortive Corp   13,385 
 82,435      Fortune Brands Home & Security, Inc   7,132 
 9,256   *  Foundation Building Materials, Inc   146 
 25,145      Franklin Electric Co, Inc   1,479 
 126,698   *,e  FuelCell Energy, Inc   271 
 30,738   *  Gates Industrial Corp plc   342 
 15,077   e  GATX Corp   961 
 4,980   *  Gencor Industries, Inc   55 
 36,885   *  Generac Holdings, Inc   7,142 
 146,493      General Dynamics Corp   20,279 
 5,105,859      General Electric Co   31,810 
 22,869   *  Gibraltar Industries, Inc   1,490 
 17,148   *  GMS, Inc   413 
 2,315   e  Gorman-Rupp Co   68 
 92,773      Graco, Inc   5,692 
 26,067      GrafTech International Ltd   178 
 7,763      Graham Corp   99 
 33,088   e  Granite Construction, Inc   583 
 44,924   *  Great Lakes Dredge & Dock Corp   427 
 19,838      Greenbrier Cos, Inc   583 
 20,793      Griffon Corp   406 
 23,777      H&E Equipment Services, Inc   467 
 59,172   *  Harsco Corp   823 
 90,220   *  HD Supply Holdings, Inc   3,721 
 26,390      HEICO Corp   2,762 
 46,469      HEICO Corp (Class A)   4,120 
 16,194      Helios Technologies, Inc   589 
 17,889   *  Herc Holdings, Inc   709 
 57,257      Hexcel Corp   1,921 
 34,596      Hillenbrand, Inc   981 
 406,953      Honeywell International, Inc   66,989 
 229,339      Howmet Aerospace, Inc   3,835 
 30,217      Hubbell, Inc   4,135 
 23,249      Huntington Ingalls   3,272 
 4,796      Hurco Cos, Inc   136 
 7,224   e  Hyster-Yale Materials Handling, Inc   268 
 41,386      IDEX Corp   7,549 
 5,334   *  IES Holdings, Inc   169 
272

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

          VALUE 
SHARES      COMPANY  (000) 
 182,538      Illinois Tool Works, Inc  $35,268 
 201,626   *  Ingersoll Rand, Inc   7,178 
 13,472      Insteel Industries, Inc   252 
 46,862      ITT, Inc   2,767 
 68,282      Jacobs Engineering Group, Inc   6,335 
 47,393   *  JELD-WEN Holding, Inc   1,071 
 16,888      John Bean Technologies Corp   1,552 
 431,464      Johnson Controls International plc   17,625 
 8,084      Kadant, Inc   886 
 7,065      Kaman Corp   275 
 56,290      Kennametal, Inc   1,629 
 50,983   *  Kratos Defense & Security Solutions, Inc   983 
 125,689      L3Harris Technologies, Inc   21,347 
 4,456   *  Lawson Products, Inc   183 
 5,677   *  LB Foster Co (Class A)   76 
 20,121      Lennox International, Inc   5,485 
 27,531      Lincoln Electric Holdings, Inc   2,534 
 7,273      Lindsay Corp   703 
 144,026      Lockheed Martin Corp   55,202 
 17,575      Luxfer Holdings plc   221 
 12,223   *  Lydall, Inc   202 
 22,630   *  Manitowoc Co, Inc   190 
 151,526      Masco Corp   8,354 
 18,516   *  Masonite International Corp   1,822 
 38,304   *,e  Mastec, Inc   1,616 
 38,365      Maxar Technologies, Inc   957 
 25,978   *  Mercury Systems, Inc   2,012 
 34,734   *  Meritor, Inc   727 
 30,281   *  Middleby Corp   2,717 
 7,280      Miller Industries, Inc   223 
 15,909      Moog, Inc (Class A)   1,011 
 64,419   *  MRC Global, Inc   276 
 25,456      MSC Industrial Direct Co (Class A)   1,611 
 40,743      Mueller Industries, Inc   1,103 
 66,266      Mueller Water Products, Inc (Class A)   689 
 10,993   *  MYR Group, Inc   409 
 3,534      National Presto Industries, Inc   289 
 35,673   *  Navistar International Corp   1,553 
 19,066   *  NN, Inc   98 
 33,227      Nordson Corp   6,374 
 90,139      Northrop Grumman Corp   28,438 
 6,891   *  Northwest Pipe Co   182 
 78,206   *  NOW, Inc   355 
 5,211   *  NV5 Global Inc   275 
 87,536      nVent Electric plc   1,549 
 2,354   e  Omega Flex, Inc   369 
 38,204      Oshkosh Corp   2,808 
 231,043      Otis Worldwide Corp   14,422 
 56,584      Owens Corning, Inc   3,894 
 195,107      PACCAR, Inc   16,639 
 35,158   *  PAE, Inc   299 
 14,228      Park Aerospace Corp   155 
 76,478      Parker-Hannifin Corp   15,475 
 12,058   *  Parsons Corp   404 
273

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

          VALUE 
SHARES      COMPANY  (000) 
 17,097      Patrick Industries, Inc  $983 
 96,376      Pentair plc   4,411 
 36,380   *  PGT, Inc   637 
 159,236   *,e  Plug Power, Inc   2,135 
 7,077      Powell Industries, Inc   171 
 1,801      Preformed Line Products Co   88 
 28,783      Primoris Services Corp   519 
 18,284   *  Proto Labs, Inc   2,368 
 25,291      Quanex Building Products Corp   466 
 75,730      Quanta Services, Inc   4,003 
 25,955      Raven Industries, Inc   559 
 837,096      Raytheon Technologies Corp   48,167 
 16,634   *  RBC Bearings, Inc   2,016 
 20,978   e  Regal-Beloit Corp   1,969 
 82,950   *  Resideo Technologies, Inc   912 
 8,757      REV Group, Inc   69 
 56,852      Rexnord Corp   1,696 
 67,253      Rockwell Automation, Inc   14,841 
 60,494      Roper Technologies Inc   23,902 
 21,510      Rush Enterprises, Inc (Class A)   1,087 
 4,597      Rush Enterprises, Inc (Class B)   204 
 88,808   *  Sensata Technologies Holding plc   3,831 
 24,709      Shyft Group, Inc   467 
 29,530      Simpson Manufacturing Co, Inc   2,869 
 24,415   *  SiteOne Landscape Supply, Inc   2,977 
 30,839      Snap-On, Inc   4,537 
 41,377      Spirit Aerosystems Holdings, Inc (Class A)   782 
 30,406   *  SPX Corp   1,410 
 29,148   *  SPX FLOW, Inc   1,248 
 8,333      Standex International Corp   493 
 88,647      Stanley Black & Decker, Inc   14,379 
 18,886   *  Sterling Construction Co, Inc   267 
 60,603   *  Sunrun, Inc   4,671 
 9,938      Systemax, Inc   238 
 20,977   *  Teledyne Technologies, Inc   6,507 
 12,744      Tennant Co   769 
 35,787      Terex Corp   693 
 18,852   *,e  Textainer Group Holdings Ltd   267 
 143,403      Textron, Inc   5,175 
 24,419   *  Thermon Group Holdings   274 
 30,037      Timken Co   1,629 
 11,613   *  Titan Machinery, Inc   154 
 55,598      Toro Co   4,667 
 7,431   *  TPI Composites, Inc   215 
 140,813      Trane Technologies plc   17,074 
 31,276      TransDigm Group, Inc   14,860 
 70,402   *  Trex Co, Inc   5,041 
 34,233   *  Trimas Corp   781 
 63,620      Trinity Industries, Inc   1,241 
 18,886      Triton International Ltd   768 
 32,779      Triumph Group, Inc   213 
 27,269   *  Tutor Perini Corp   304 
 41,346   *  United Rentals, Inc   7,215 
 107,143   *  Univar Solutions Inc   1,809 
274

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

          VALUE 
SHARES      COMPANY  (000) 
 10,628      Valmont Industries, Inc  $1,320 
 7,860   *  Vectrus, Inc   299 
 7,828   *  Veritiv Corp   99 
 119,277   *  Vertiv Holdings Co   2,066 
 12,845   *  Vicor Corp   998 
 36,030   *,e  Virgin Galactic Holdings, Inc   693 
 15,334   *,e  Vivint Solar, Inc   649 
 25,541      W.W. Grainger, Inc   9,112 
 42,603   e  Wabash National Corp   510 
 99,754      Wabtec Corp   6,173 
 18,257      Watsco, Inc   4,252 
 12,563      Watts Water Technologies, Inc (Class A)   1,258 
 88,290   *  Welbilt, Inc   544 
 28,009   *  WESCO International, Inc   1,233 
 3,392   *  Willis Lease Finance Corp   63 
 98,203   *  WillScot Mobile Mini Holdings Corp   1,638 
 30,482      Woodward Inc   2,443 
 98,686      Xylem, Inc   8,301 
        TOTAL CAPITAL GOODS   1,124,726 
              
COMMERCIAL & PROFESSIONAL SERVICES - 1.1%        
 40,285      ABM Industries, Inc   1,477 
 37,820   *  Acacia Research (Acacia Technologies)   131 
 9,390      ACCO Brands Corp   54 
 66,939      ADT, Inc   547 
 24,977   *  Advanced Disposal Services, Inc   755 
 83,309   *,g  API Group Corp   1,185 
 27,574   *  ASGN Inc   1,753 
 5,145      Barrett Business Services, Inc   270 
 4,266      BG Staffing, Inc   36 
 22,496      Brady Corp (Class A)   900 
 16,522   *  BrightView Holdings, Inc   188 
 33,001   e  Brink’s Co   1,356 
 29,675   *  Casella Waste Systems, Inc (Class A)   1,657 
 35,493   *  CBIZ, Inc   812 
 18,496   *,e  Ceco Environmental Corp   135 
 8,021   *  Cimpress plc   603 
 51,020      Cintas Corp   16,981 
 30,748   *  Clean Harbors, Inc   1,723 
 116,214   *  Copart, Inc   12,221 
 21,937   *  CoStar Group, Inc   18,614 
 84,474      Covanta Holding Corp   655 
 7,013      CRA International, Inc   263 
 27,694      Deluxe Corp   713 
 49,788   *  Dun & Bradstreet Holdings, Inc   1,278 
 11,002      Emerald Holding, Inc   22 
 20,052      Ennis, Inc   350 
 69,309      Equifax, Inc   10,875 
 29,463      Exponent, Inc   2,122 
 7,582   *  Forrester Research, Inc   249 
 7,620   *  Franklin Covey Co   135 
 21,634   *  FTI Consulting, Inc   2,293 
 9,864   *  GP Strategies Corp   95 
 49,914      Healthcare Services Group   1,075 
275

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

          VALUE 
SHARES      COMPANY  (000) 
 14,300      Heidrick & Struggles International, Inc  $281 
 8,893   *  Heritage-Crystal Clean, Inc   119 
 28,968      Herman Miller, Inc   874 
 31,637      HNI Corp   993 
 15,850   *  Huron Consulting Group, Inc   623 
 78,470   *  IAA, Inc   4,086 
 13,124      ICF International, Inc   808 
 227,325      IHS Markit Ltd   17,847 
 25,976      Insperity, Inc   1,701 
 44,581      Interface, Inc   273 
 88,200      KAR Auction Services, Inc   1,270 
 20,372      Kelly Services, Inc (Class A)   347 
 18,302      Kforce, Inc   589 
 25,171      Kimball International, Inc (Class B)   265 
 35,963      Knoll, Inc   434 
 37,013      Korn/Ferry International   1,073 
 31,415      Manpower, Inc   2,304 
 22,585      Matthews International Corp (Class A)   505 
 10,506      McGrath RentCorp   626 
 13,300   *  Mistras Group, Inc   52 
 19,573   e  MSA Safety, Inc   2,626 
 219,281      Nielsen NV   3,109 
 4,961      NL Industries, Inc   21 
 133,127      Pitney Bowes, Inc   707 
 39,456   *,e  Precigen, Inc   138 
 21,796      Quad Graphics, Inc   66 
 117,504      Republic Services, Inc   10,969 
 20,546      Resources Connection, Inc   237 
 69,302      Robert Half International, Inc   3,669 
 85,209      Rollins, Inc   4,617 
 12,140   *  SP Plus Corp   218 
 61,807      Steelcase, Inc (Class A)   625 
 49,051   *  Stericycle, Inc   3,093 
 20,907   *  Team, Inc   115 
 29,513      Tetra Tech, Inc   2,818 
 109,499      TransUnion   9,212 
 22,121   *  TriNet Group, Inc   1,312 
 346   *  TrueBlue, Inc   5 
 8,983      Unifirst Corp   1,701 
 16,280      US Ecology, Inc   532 
 91,507      Verisk Analytics, Inc   16,957 
 15,178      Viad Corp   316 
 41,530   *  Vivint Smart Home, Inc   709 
 5,586      VSE Corp   171 
 247,279      Waste Management, Inc   27,985 
 5,398   *,e  Willdan Group, Inc   138 
        TOTAL COMMERCIAL & PROFESSIONAL SERVICES   208,659 
              
CONSUMER DURABLES & APPAREL - 1.5%       
 15,286      Acushnet Holdings Corp   514 
 9,880   *  American Outdoor Brands, Inc   129 
 21,459   *,e  Beazer Homes USA, Inc   283 
 44,121      Brunswick Corp   2,599 
 69,841      Callaway Golf Co   1,337 
276

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

          VALUE 
SHARES      COMPANY  (000) 
 68,422   *  Capri Holdings Ltd  $1,232 
 27,877      Carter’s, Inc   2,414 
 6,102   *  Cavco Industries, Inc   1,100 
 13,611   *  Century Communities, Inc   576 
 14,289      Clarus Corp   202 
 13,474      Columbia Sportswear Co   1,172 
 45,716   *  CROCS, Inc   1,953 
 16,069   *  Deckers Outdoor Corp   3,535 
 188,748      DR Horton, Inc   14,275 
 7,865      Escalade, Inc   144 
 18,783      Ethan Allen Interiors, Inc   254 
 31,215   *  Fossil Group, Inc   179 
 82,696   *  Garmin Ltd   7,845 
 4,831   *  G-III Apparel Group Ltd   63 
 74,136   *  GoPro, Inc   336 
 16,535   *  Green Brick Partners, Inc   266 
 6,360   e  Hamilton Beach Brands Holding Co   124 
 201,239      Hanesbrands, Inc   3,170 
 72,105      Hasbro, Inc   5,965 
 15,207   *  Helen of Troy Ltd   2,943 
 7,913      Hooker Furniture Corp   204 
 13,822   *  Installed Building Products, Inc   1,406 
 18,443   *,e  iRobot Corp   1,400 
 3,583      Johnson Outdoors, Inc   293 
 60,650      KB Home   2,328 
 30,075      Kontoor Brands, Inc   728 
 36,137      La-Z-Boy, Inc   1,143 
 78,980      Leggett & Platt, Inc   3,252 
 154,377      Lennar Corp (Class A)   12,609 
 541      Lennar Corp (Class B)   36 
 12,635   *  LGI Homes, Inc   1,468 
 7,210      Lifetime Brands, Inc   68 
 66,278   *  Lululemon Athletica, Inc   21,830 
 16,714   *  M/I Homes, Inc   770 
 13,092   *  Malibu Boats, Inc   649 
 8,407      Marine Products Corp   131 
 13,690   *  MasterCraft Boat Holdings, Inc   239 
 199,106   *  Mattel, Inc   2,330 
 30,198      MDC Holdings, Inc   1,422 
 22,102   *  Meritage Homes Corp   2,440 
 31,434   *  Mohawk Industries, Inc   3,068 
 11,320      Movado Group, Inc   113 
 3,180      Nacco Industries, Inc (Class A)   58 
 17,631   *  Nautilus, Inc   303 
 207,669      Newell Brands Inc   3,564 
 704,575      Nike, Inc (Class B)   88,452 
 1,853   *  NVR, Inc   7,566 
 11,750      Oxford Industries, Inc   474 
 56,689   *  Peloton Interactive, Inc   5,626 
 32,179      Polaris Inc   3,036 
 157,608      Pulte Homes, Inc   7,296 
 8,506   *  Purple Innovation, Inc   211 
 40,092      PVH Corp   2,391 
 30,697      Ralph Lauren Corp   2,086 
277

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

          VALUE 
SHARES      COMPANY  (000) 
 79,579   *  Skechers U.S.A., Inc (Class A)  $2,405 
 32,514   *  Skyline Champion Corp   870 
 39,523      Smith & Wesson Brands, Inc   613 
 45,047   *  Sonos, Inc   684 
 60,523      Steven Madden Ltd   1,180 
 12,383      Sturm Ruger & Co, Inc   757 
 5,163      Superior Uniform Group, Inc   120 
 144,360      Tapestry, Inc   2,256 
 67,492   *  Taylor Morrison Home Corp   1,660 
 26,761   *  Tempur Sealy International, Inc   2,387 
 69,223      Toll Brothers, Inc   3,368 
 20,867   *  TopBuild Corp   3,562 
 65,578   *  TRI Pointe Homes, Inc   1,190 
 28,980      Tupperware Brands Corp   584 
 110,698   *  Under Armour, Inc (Class A)   1,243 
 110,542   *  Under Armour, Inc (Class C)   1,088 
 10,905   *  Unifi, Inc   140 
 10,485   *  Universal Electronics, Inc   396 
 16,444   *  Vera Bradley, Inc   100 
 193,170      VF Corp   13,570 
 41,550   *  Vista Outdoor, Inc   838 
 34,621      Whirlpool Corp   6,366 
 48,726   e  Wolverine World Wide, Inc   1,259 
 44,122   *  YETI Holdings, Inc   2,000 
        TOTAL CONSUMER DURABLES & APPAREL   280,236 
              
CONSUMER SERVICES - 1.9%     
 25,118   *,e  Accel Entertainment, Inc   269 
 33,727   *  Adtalem Global Education, Inc   828 
 12,233   *  American Public Education, Inc   345 
 143,934      ARAMARK Holdings Corp   3,807 
 769   *  Biglari Holdings, Inc (B Shares)   68 
 15,173      BJ’s Restaurants, Inc   447 
 44,145      Bloomin’ Brands, Inc   674 
 61,116      Boyd Gaming Corp   1,876 
 36,213   *  Bright Horizons Family Solutions   5,506 
 25,489      Brinker International, Inc   1,089 
 80,138   *  Caesars Entertainment, Inc   4,492 
 243,870      Carnival Corp   3,702 
 11,838      Carriage Services, Inc   264 
 27,792   *  Carrols Restaurant Group, Inc   179 
 16,727   *  Century Casinos, Inc   92 
 31,824   e  Cheesecake Factory   883 
 72,467   *  Chegg, Inc   5,177 
 16,253   *  Chipotle Mexican Grill, Inc (Class A)   20,214 
 17,380   e  Choice Hotels International, Inc   1,494 
 20,586      Churchill Downs, Inc   3,372 
 12,474   *  Chuy’s Holdings, Inc   244 
 5,424      Collectors Universe   268 
 15,120      Cracker Barrel Old Country Store, Inc   1,734 
 77,856      Darden Restaurants, Inc   7,843 
 16,608   e  Dave & Buster’s Entertainment, Inc   252 
 23,487   *  Del Taco Restaurants, Inc   193 
 41,277   *  Denny’s Corp   413 
278

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

          VALUE 
SHARES      COMPANY  (000) 
 10,362      Dine Brands Global Inc.  $566 
 21,807      Domino’s Pizza, Inc   9,274 
 43,173      Dunkin Brands Group, Inc   3,536 
 14,501   *  El Pollo Loco Holdings, Inc   235 
 45,885   *  Everi Holdings, Inc   378 
 105,919      Extended Stay America, Inc   1,266 
 20,469   *  Fiesta Restaurant Group, Inc   192 
 11,421      Franchise Group, Inc   290 
 54,509   *  frontdoor, Inc   2,121 
 7,389   *  Golden Entertainment, Inc   102 
 1,652      Graham Holdings Co   668 
 26,419   *  Grand Canyon Education, Inc   2,112 
 98,961      H&R Block, Inc   1,612 
 49,665   *  Hilton Grand Vacations, Inc   1,042 
 163,465      Hilton Worldwide Holdings, Inc   13,947 
 76,812   *  Houghton Mifflin Harcourt Co   133 
 24,452      Hyatt Hotels Corp   1,305 
 76,027   e  International Game Technology plc   846 
 14,716   e  Jack in the Box, Inc   1,167 
 26,055   *  K12, Inc   686 
 189,050      Las Vegas Sands Corp   8,821 
 62,559   *  Laureate Education, Inc   831 
 10,890   *  Lindblad Expeditions Holdings, Inc   93 
 160,967      Marriott International, Inc (Class A)   14,902 
 24,090      Marriott Vacations Worldwide Corp   2,188 
 432,601      McDonald’s Corp   94,952 
 281,649      MGM Resorts International   6,126 
 7,140   *  Monarch Casino & Resort, Inc   318 
 2,378      Nathan’s Famous, Inc   122 
 8,091   *  Noodles & Co   56 
 153,189   *,e  Norwegian Cruise Line Holdings Ltd   2,621 
 29,338   e  OneSpaWorld Holdings Ltd   191 
 18,811      Papa John’s International, Inc   1,548 
 76,441   *,e  Penn National Gaming, Inc   5,557 
 46,334   *  Perdoceo Education Corp   567 
 51,866   *  Planet Fitness, Inc   3,196 
 10,854   *  PlayAGS, Inc   38 
 6,547   e  RCI Hospitality Holdings, Inc   133 
 9,211   *,e  Red Robin Gourmet Burgers, Inc   121 
 5,884      Red Rock Resorts, Inc   101 
 27,109   *,e  Regis Corp   166 
 106,238      Royal Caribbean Cruises Ltd   6,877 
 21,790      Ruth’s Hospitality Group Inc   241 
 37,197   *  Scientific Games Corp (Class A)   1,298 
 30,308   *  SeaWorld Entertainment, Inc   598 
 95,406      Service Corp International   4,024 
 15,620   *,e  Shake Shack, Inc   1,007 
 48,601      Six Flags Entertainment Corp   987 
 679,843      Starbucks Corp   58,412 
 11,328      Strategic Education, Inc   1,036 
 21,327   *  Target Hospitality Corp   26 
 86,396   *  Terminix Global Holdings, Inc   3,445 
 40,109   e  Texas Roadhouse, Inc (Class A)   2,438 
 13,497   e  Twin River Worldwide Holdings Inc   354 
279

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

          VALUE 
SHARES      COMPANY  (000) 
 23,348      Vail Resorts, Inc  $4,996 
 107,288      Wendy’s   2,392 
 17,626      Wingstop, Inc   2,409 
 26,120   *  WW International Inc   493 
 42,519      Wyndham Destinations, Inc   1,308 
 58,768      Wyndham Hotels & Resorts, Inc   2,968 
 58,587      Wynn Resorts Ltd   4,207 
 221,986      Yum China Holdings, Inc   11,754 
 172,373      Yum! Brands, Inc   15,738 
        TOTAL CONSUMER SERVICES   376,859 
              
DIVERSIFIED FINANCIALS - 3.2%     
 24,496      Affiliated Managers Group, Inc   1,675 
 341,429      AGNC Investment Corp   4,749 
 8,948      Alerus Financial Corp   175 
 234,210      Ally Financial, Inc   5,872 
 379,661      American Express Co   38,061 
 69,686      Ameriprise Financial, Inc   10,739 
 885,022      Annaly Capital Management, Inc   6,301 
 70,479      Anworth Mortgage Asset Corp   116 
 68,911      Apollo Commercial Real Estate Finance, Inc   621 
 102,107      Apollo Global Management, Inc   4,569 
 61,262   e  Arbor Realty Trust, Inc   703 
 22,112      Ares Commercial Real Estate Corp   202 
 58,699      Ares Management Corp   2,373 
 16,506   e  Arlington Asset Investment Corp (Class A)   47 
 26,163      ARMOUR Residential REIT, Inc   249 
 32,135      Artisan Partners Asset Management, Inc   1,253 
 8,796   *  Assetmark Financial Holdings, Inc   191 
 4,316      Associated Capital Group, Inc   156 
 10,240      B. Riley Financial, Inc   257 
 21,466      Banco Latinoamericano de Exportaciones S.A. (Class E)   261 
 462,983      Bank of New York Mellon Corp   15,899 
 166,153      BGC Partners, Inc (Class A)   399 
 85,115      BlackRock, Inc   47,967 
 73,790   e  Blackstone Mortgage Trust, Inc   1,621 
 30,473   *  Blucora, Inc   287 
 40,173      Brightsphere Investment Group, Inc   518 
 76,557   e  Broadmark Realty Capital, Inc   755 
 16,951   *,†  Calamos Asset Management, Inc   0 
 48,331   *  Cannae Holdings, Inc   1,801 
 267,933      Capital One Financial Corp   19,254 
 71,072      Capstead Mortgage Corp   399 
 69,672      Carlyle Group, Inc   1,719 
 68,387      CBOE Global Markets, Inc   6,000 
 668,522      Charles Schwab Corp   24,221 
 7,464      Cherry Hill Mortgage Investment Corp   67 
 94,757      Chimera Investment Corp   777 
 207,704      CME Group, Inc   34,751 
 15,440      Cohen & Steers, Inc   861 
 7,402      Colony Credit Real Estate, Inc   36 
 18,127      Cowen Group, Inc   295 
 6,049   *,e  Credit Acceptance Corp   2,048 
 7,834   e  Curo Group Holdings Corp   55 
280

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

          VALUE 
SHARES      COMPANY  (000) 
 2,179      Diamond Hill Investment Group, Inc  $275 
 185,611      Discover Financial Services   10,725 
 19,156   *  Donnelley Financial Solutions, Inc   256 
 11,107   e  Dynex Capital, Inc   169 
 123,250      E*TRADE Financial Corp   6,169 
 64,523      Eaton Vance Corp   2,462 
 17,423      Ellington Financial Inc   214 
 17,368   *,e  Encore Capital Group, Inc   670 
 23,911   *  Enova International, Inc   392 
 210,922      Equitable Holdings, Inc   3,847 
 29,096      Evercore Inc   1,905 
 38,445   *  Ezcorp, Inc (Class A)   193 
 21,287      Factset Research Systems, Inc   7,129 
 68,886      Federated Investors, Inc (Class B)   1,482 
 24,222      FirstCash, Inc   1,386 
 12,579   *  Focus Financial Partners, Inc   412 
 162,178      Franklin Resources, Inc   3,300 
 4,049      GAMCO Investors, Inc (Class A)   47 
 190,113      Goldman Sachs Group, Inc   38,207 
 31,227   e  Granite Point Mortgage Trust, Inc   221 
 9,250      Great Ajax Corp   77 
 33,057   *  Green Dot Corp   1,673 
 19,893      Greenhill & Co, Inc   226 
 10,099      Hamilton Lane, Inc   652 
 35,286      Hannon Armstrong Sustainable Infrastructure Capital, Inc   1,491 
 25,893      Houlihan Lokey, Inc   1,529 
 47,028      Interactive Brokers Group, Inc (Class A)   2,273 
 312,004      Intercontinental Exchange Group, Inc   31,216 
 173,085      Invesco Ltd   1,975 
 100,745   e  Invesco Mortgage Capital, Inc   273 
 149,295      Jefferies Financial Group, Inc   2,687 
 305,123      KKR & Co, Inc   10,478 
 7,773   e  KKR Real Estate Finance Trust, Inc   128 
 49,932      Ladder Capital Corp   355 
 61,713      Lazard Ltd (Class A)   2,040 
 42,896   *,e  LendingClub Corp   202 
 49,263      LPL Financial Holdings, Inc   3,777 
 22,099      MarketAxess Holdings, Inc   10,643 
 6,533      Marlin Business Services Corp   46 
 270,747      MFA Financial Inc   726 
 26,390      Moelis & Co   927 
 93,705      Moody’s Corp   27,160 
 637,901      Morgan Stanley   30,842 
 9,849      Morningstar, Inc   1,582 
 47,531      MSCI, Inc (Class A)   16,958 
 66,042      Nasdaq Inc   8,104 
 72,560      Navient Corp   613 
 14,990      Nelnet, Inc (Class A)   903 
 231,837      New Residential Investment Corp   1,843 
 225,109      New York Mortgage Trust, Inc   574 
 22,218   *,†  NewStar Financial, Inc   5 
 107,408      Northern Trust Corp   8,375 
 37,084      OneMain Holdings, Inc   1,159 
 11,565   *  Oportun Financial Corp   136 
281

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

          VALUE 
SHARES      COMPANY  (000) 
 7,363      Oppenheimer Holdings, Inc  $164 
 23,694      Orchid Island Capital, Inc   119 
 47,765      PennyMac Mortgage Investment Trust   768 
 17,372   *  Pico Holdings, Inc   156 
 10,272      Piper Jaffray Cos   750 
 13,025      PJT Partners, Inc   789 
 33,753   *  PRA Group, Inc   1,348 
 9,591      Pzena Investment Management, Inc (Class A)   51 
 66,436      Raymond James Financial, Inc   4,834 
 11,012      Ready Capital Corp   123 
 49,700      Redwood Trust, Inc   374 
 8,577   *  Regional Management Corp   143 
 139,405      S&P Global, Inc   50,269 
 16,951      Safeguard Scientifics, Inc   93 
 57,054      Santander Consumer USA Holdings, Inc   1,038 
 10,879      Sculptor Capital Management, Inc   128 
 58,985      SEI Investments Co   2,992 
 5,338      Silvercrest Asset Management Group, Inc   56 
 211,103      SLM Corp   1,708 
 153,692      Starwood Property Trust, Inc   2,319 
 202,294      State Street Corp   12,002 
 38,350      Stifel Financial Corp   1,939 
 11,369   *  StoneX Group, Inc   582 
 348,966      Synchrony Financial   9,132 
 131,257      T Rowe Price Group, Inc   16,830 
 142,397      TD Ameritrade Holding Corp   5,575 
 7,897      TPG RE Finance Trust, Inc   67 
 49,135      Tradeweb Markets, Inc   2,850 
 174,270      Two Harbors Investment Corp   887 
 37,412      Virtu Financial, Inc   861 
 4,800      Virtus Investment Partners, Inc   665 
 74,871      Voya Financial, Inc   3,589 
 22,709      Waddell & Reed Financial, Inc (Class A)   337 
 28,538   e  Western Asset Mortgage Capital Corp   58 
 5,409      Westwood Holdings Group, Inc   60 
 84,317      WisdomTree Investments, Inc   270 
 4,248   *,e  World Acceptance Corp   448 
        TOTAL DIVERSIFIED FINANCIALS   613,783 
              
ENERGY - 1.9%     
 146,439      Antero Midstream Corp   786 
 132,421   *,e  Antero Resources Corp   364 
 241,520      Apache Corp   2,287 
 9,586   *  Arch Resources, Inc   407 
 85,865      Archrock, Inc   462 
 20,832      Ardmore Shipping Corp   74 
 372,296      Baker Hughes Co   4,948 
 36,376      Berry Petroleum Co LLC   115 
 14,562   *  Bonanza Creek Energy, Inc   274 
 10,396      Brigham Minerals, Inc   93 
 4,788   *  Bristow Group, Inc   102 
 217,282      Cabot Oil & Gas Corp   3,772 
 16,011      Cactus, Inc   307 
 110,556   *  ChampionX Corp   883 
282

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

          VALUE 
SHARES      COMPANY  (000) 
 138,494   *  Cheniere Energy, Inc  $6,408 
 1,086,870      Chevron Corp   78,255 
 49,611      Cimarex Energy Co   1,207 
 96,211   *  Clean Energy Fuels Corp   239 
 64,119   *  CNX Resources Corp   605 
 109,609      Concho Resources, Inc   4,836 
 630,219      ConocoPhillips   20,696 
 20,666   *,e  CONSOL Energy, Inc   92 
 53,393   *,e  Contango Oil & Gas Co   72 
 32,957   e  Continental Resources, Inc   405 
 11,149      CVR Energy, Inc   138 
 26,329      Delek US Holdings, Inc   293 
 242,317   *  Devon Energy Corp   2,292 
 55,111      DHT Holdings, Inc   284 
 14,000   *  Diamond S Shipping Inc   96 
 92,205      Diamondback Energy, Inc   2,777 
 9,586      DMC Global, Inc   316 
 20,589   *  Dorian LPG Ltd   165 
 27,635   *  Dril-Quip, Inc   684 
 7,121   *  Earthstone Energy, Inc   18 
 155,692   e  EnCana Corp   1,270 
 56,201   *,e  Energy Fuels, Inc   94 
 335,801      EOG Resources, Inc   12,069 
 153,612      EQT Corp   1,986 
 246,829      Equitrans Midstream Corp   2,088 
 17,517      Evolution Petroleum Corp   39 
 23,313   *  Exterran Corp   97 
 2,469,942   d  Exxon Mobil Corp   84,793 
 24,885      Falcon Minerals Corp   61 
 36,662   *  Frank’s International NV   56 
 70,150   e  Frontline Ltd   456 
 69,477   *  Golar LNG Ltd   421 
 26,945   *,e  Green Plains Inc   417 
 109,431   *  Gulfport Energy Corp   58 
 533,070      Halliburton Co   6,424 
 100,808   *  Helix Energy Solutions Group, Inc   243 
 52,744      Helmerich & Payne, Inc   773 
 170,660      Hess Corp   6,985 
 97,848      HollyFrontier Corp   1,929 
 20,967      International Seaways, Inc   306 
 1,120,745      Kinder Morgan, Inc   13,819 
 234,852      Kosmos Energy Ltd   229 
 9,873      Liberty Oilfield Services, Inc   79 
 65,268   *  Magnolia Oil & Gas Corp   337 
 503,108      Marathon Oil Corp   2,058 
 387,559      Marathon Petroleum Corp   11,371 
 64,577   *  Matador Resources Co   533 
 19,934   *  Matrix Service Co   166 
 4,077   *  Montage Resources Corp   18 
 86,947      Murphy Oil Corp   776 
 4,061   e  Nabors Industries Ltd   99 
 256,371      National Oilwell Varco, Inc   2,323 
 63,344   *  Newpark Resources, Inc   67 
 76,759   *  NexTier Oilfield Solutions, Inc   142 
283

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

          VALUE 
SHARES      COMPANY  (000) 
 284,931      Noble Energy, Inc  $2,436 
 68,002      Nordic American Tankers Ltd   237 
 468,293      Occidental Petroleum Corp   4,688 
 71,446   *  Oceaneering International, Inc   252 
 38,178   *  Oil States International, Inc   104 
 254,378      ONEOK, Inc   6,609 
 26,237   *  Overseas Shipholding Group, Inc   56 
 23,180   *  Par Pacific Holdings, Inc   157 
 177,587   e  Parsley Energy, Inc   1,662 
 150,779      Patterson-UTI Energy, Inc   430 
 14,770      PBF Energy, Inc   84 
 44,499   *  PDC Energy, Inc   552 
 54,624      Peabody Energy Corp   126 
 10,090   *,e  Penn Virginia Corp   99 
 261,435      Phillips 66   13,553 
 93,446      Pioneer Natural Resources Co   8,035 
 48,018   *  ProPetro Holding Corp   195 
 139,657      Range Resources Corp   925 
 10,017   *,e  Renewable Energy Group, Inc   535 
 4,186   *  Rex American Resources Corp   275 
 42,512   *  RPC, Inc   112 
 832,069      Schlumberger Ltd   12,947 
 12,739   e  Scorpio Tankers, Inc   141 
 11,768   *  SEACOR Holdings, Inc   342 
 6,869   *  Select Energy Services, Inc   26 
 45,041      SFL Corp Ltd   337 
 80,594      SM Energy Co   128 
 6,855      Solaris Oilfield Infrastructure, Inc   44 
 264,381   *  Southwestern Energy Co   621 
 13,911   *  Talos Energy, Inc   90 
 141,390      Targa Resources Investments, Inc   1,984 
 39,279   *,e  Tellurian, Inc   31 
 16,234   *  Tidewater, Inc   109 
 95,169   *,e  Uranium Energy Corp   95 
 58,687      US Silica Holdings, Inc   176 
 246,390      Valero Energy Corp   10,674 
 14,396   *,e  W&T Offshore, Inc   26 
 728,131      Williams Cos, Inc   14,308 
 29,960      World Fuel Services Corp   635 
 284,313   *  WPX Energy, Inc   1,393 
        TOTAL ENERGY   372,563 
              
FOOD & STAPLES RETAILING - 1.4%     
 26,613   *,e  Albertsons Cos, Inc   369 
 19,849      Andersons, Inc   381 
 22,168      Casey’s General Stores, Inc   3,938 
 14,374   *  Chefs’ Warehouse Holdings, Inc   209 
 256,259      Costco Wholesale Corp   90,972 
 32,707   *  Grocery Outlet Holding Corp   1,286 
 21,180   *,e  HF Foods Group Inc   140 
 10,217   e  Ingles Markets, Inc (Class A)   389 
 455,584      Kroger Co   15,449 
 6,410      Natural Grocers by Vitamin C   63 
 70,016   *  Performance Food Group Co   2,424 
284

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

          VALUE 
SHARES      COMPANY  (000) 
 14,866      Pricesmart, Inc  $988 
 38,176   *,e  Rite Aid Corp   362 
 27,344      SpartanNash Co   447 
 72,919   *  Sprouts Farmers Market, Inc   1,526 
 284,759      SYSCO Corp   17,718 
 36,929   *  United Natural Foods, Inc   549 
 129,589   *  US Foods Holding Corp   2,879 
 4,843      Village Super Market (Class A)   119 
 424,412      Walgreens Boots Alliance, Inc   15,245 
 809,715      Walmart, Inc   113,287 
 4,684      Weis Markets, Inc   225 
        TOTAL FOOD & STAPLES RETAILING   268,965 
              
FOOD, BEVERAGE & TOBACCO - 3.1%     
 2,296      Alico, Inc   66 
 1,087,441      Altria Group, Inc   42,019 
 314,593      Archer-Daniels-Midland Co   14,625 
 48,393   e  B&G Foods, Inc (Class A)   1,344 
 29,996   *,e  Beyond Meat, Inc   4,981 
 4,644   *,e  Boston Beer Co, Inc (Class A)   4,102 
 21,579      Brown-Forman Corp (Class A)   1,482 
 99,618      Brown-Forman Corp (Class B)   7,503 
 82,637      Bunge Ltd   3,777 
 11,455      Calavo Growers, Inc   759 
 22,629   *  Cal-Maine Foods, Inc   868 
 99,585      Campbell Soup Co   4,817 
 20,431   *,e  Celsius Holdings, Inc   464 
 2,251,099      Coca-Cola Co   111,137 
 3,092      Coca-Cola Consolidated Inc   744 
 277,399      ConAgra Brands, Inc   9,906 
 91,830      Constellation Brands, Inc (Class A)   17,403 
 7,653   *  Craft Brewers Alliance, Inc   126 
 96,358   *  Darling International, Inc   3,472 
 5,320   *  Farmer Bros Co   24 
 103,413      Flowers Foods, Inc   2,516 
 20,613      Fresh Del Monte Produce, Inc   472 
 23,047   *  Freshpet, Inc   2,573 
 354,822      General Mills, Inc   21,885 
 50,738   *  Hain Celestial Group, Inc   1,740 
 86,018      Hershey Co   12,330 
 153,581      Hormel Foods Corp   7,509 
 57,996   *  Hostess Brands, Inc   715 
 34,138      Ingredion, Inc   2,584 
 10,369      J&J Snack Foods Corp   1,352 
 62,685      J.M. Smucker Co   7,241 
 5,780      John B. Sanfilippo & Son, Inc   436 
 142,937      Kellogg Co   9,232 
 204,467      Keurig Dr Pepper, Inc   5,643 
 370,323      Kraft Heinz Co   11,091 
 86,473      Lamb Weston Holdings, Inc   5,731 
 13,060      Lancaster Colony Corp   2,335 
 19,323   *  Landec Corp   188 
 8,386      Limoneira Co   120 
 71,411      McCormick & Co, Inc   13,861 
285

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

          VALUE 
SHARES      COMPANY  (000) 
 9,193   e  MGP Ingredients, Inc  $365 
 100,662      Molson Coors Brewing Co (Class B)   3,378 
 815,301      Mondelez International, Inc   46,839 
 213,341   *  Monster Beverage Corp   17,110 
 8,574   e  National Beverage Corp   583 
 46,743   *  NewAge, Inc   81 
 808,903      PepsiCo, Inc   112,114 
 902,978      Philip Morris International, Inc   67,714 
 2,181   *  Pilgrim’s Pride Corp   33 
 35,377   *  Post Holdings, Inc   3,042 
 92,946      Primo Water Corp   1,320 
 11,652      Sanderson Farms, Inc   1,375 
 192      Seaboard Corp   545 
 5,451   *  Seneca Foods Corp   195 
 40,880   *  Simply Good Foods Co   901 
 11,646   e  Tootsie Roll Industries, Inc   360 
 29,630   *  TreeHouse Foods, Inc   1,201 
 4,760      Turning Point Brands, Inc   133 
 167,956      Tyson Foods, Inc (Class A)   9,990 
 14,454      Universal Corp   605 
 53,131      Vector Group Ltd   515 
        TOTAL FOOD, BEVERAGE & TOBACCO   607,572 
              
HEALTH CARE EQUIPMENT & SERVICES - 6.6%     
 45,310   *  1Life Healthcare, Inc   1,285 
 1,007,521      Abbott Laboratories   109,649 
 25,665   *  Abiomed, Inc   7,111 
 56,824   *  Acadia Healthcare Co, Inc   1,675 
 6,707   *  Accolade, Inc   261 
 58,290   *  Accuray, Inc   140 
 5,674   *  Acutus Medical, Inc   169 
 14,403   *  AdaptHealth Corp   314 
 5,501   *  Addus HomeCare Corp   520 
 44,769   *  Align Technology, Inc   14,656 
 133,589   *  Allscripts Healthcare Solutions, Inc   1,087 
 19,731   *  Amedisys, Inc   4,665 
 6,596   *,e  American Renal Associates Holdings, Inc   46 
 83,564      AmerisourceBergen Corp   8,099 
 31,962   *  AMN Healthcare Services, Inc   1,869 
 26,107   *  Angiodynamics, Inc   315 
 104,354   *  Antares Pharma, Inc   282 
 147,119      Anthem, Inc   39,515 
 16,786   *,e  Apollo Medical Holdings, Inc   301 
 22,609   *  AtriCure, Inc   902 
 1,019      Atrion Corp   638 
 33,829   *,e  Avanos Medical, Inc   1,124 
 18,090   *,e  AxoGen, Inc   210 
 9,978   *,e  Axonics Modulation Technologies, Inc   509 
 298,204      Baxter International, Inc   23,982 
 160,255      Becton Dickinson & Co   37,288 
 7,927   *  BioLife Solutions Inc   229 
 19,708   *  BioTelemetry, Inc   898 
 829,805   *  Boston Scientific Corp   31,707 
 135,933   *  Brookdale Senior Living, Inc   345 
286

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

          VALUE 
SHARES      COMPANY  (000) 
 25,974      Cantel Medical Corp  $1,141 
 164,290      Cardinal Health, Inc   7,713 
 23,626   *  Cardiovascular Systems, Inc   930 
 325,464   *  Centene Corp   18,984 
 177,815      Cerner Corp   12,854 
 71,510   *  Cerus Corp   448 
 138,891   *  Change Healthcare, Inc   2,015 
 9,197      Chemed Corp   4,418 
 210,703      Cigna Corp   35,695 
 15,433   *,e  Co-Diagnostics, Inc   210 
 49,106   *  Community Health Systems, Inc   207 
 8,700      Computer Programs & Systems, Inc   240 
 19,875   e  Conmed Corp   1,564 
 26,916      Cooper Cos, Inc   9,074 
 7,512   *  Corvel Corp   642 
 39,829   *  Covetrus, Inc   972 
 25,224   *  Cross Country Healthcare, Inc   164 
 23,064   *  CryoLife, Inc   426 
 16,944   *,e  CryoPort, Inc   803 
 10,004   *  Cutera, Inc   190 
 759,928      CVS Health Corp   44,380 
 19,235   *  CytoSorbents Corp   153 
 363,514      Danaher Corp   78,275 
 46,937   *  DaVita, Inc   4,020 
 130,875      Dentsply Sirona, Inc   5,723 
 53,725   *  DexCom, Inc   22,147 
 356,297   *  Edwards Lifesciences Corp   28,440 
 54,203      Encompass Health Corp   3,522 
 25,058      Ensign Group, Inc   1,430 
 90,976   *  Envista Holdings Corp   2,245 
 27,058   *  Enzo Biochem, Inc   57 
 45,708   *  Evolent Health, Inc   567 
 30,765   *  GenMark Diagnostics, Inc   437 
 20,642   *,e  Glaukos Corp   1,022 
 48,523   *  Globus Medical, Inc   2,403 
 44,457   *  Guardant Health, Inc   4,969 
 31,065   *  Haemonetics Corp   2,710 
 23,398   *  Hanger Inc   370 
 155,945      HCA Healthcare, Inc   19,443 
 11,667   *,e  Health Catalyst, Inc   427 
 41,555   *  HealthEquity, Inc   2,135 
 18,780   *  HealthStream, Inc   377 
 82,116   *  Henry Schein, Inc   4,827 
 4,605   *  Heska Corp   455 
 36,164      Hill-Rom Holdings, Inc   3,020 
 44,045   *  HMS Holdings Corp   1,055 
 143,873   *  Hologic, Inc   9,563 
 76,607      Humana, Inc   31,707 
 10,885   *  ICU Medical, Inc   1,989 
 49,115   *  IDEXX Laboratories, Inc   19,308 
 4,432   *  Inari Medical, Inc   306 
 12,244   *,e  Inogen, Inc   355 
 43,464   *  Inovalon Holdings, Inc   1,150 
 15,579   *  Inspire Medical Systems, Inc   2,010 
287

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

          VALUE 
SHARES      COMPANY  (000) 
 38,127   *  Insulet Corp  $9,020 
 22,691   *  Integer Holding Corp   1,339 
 34,017   *  Integra LifeSciences Holdings Corp   1,606 
 4,136   *  IntriCon Corp   50 
 66,831   *  Intuitive Surgical, Inc   47,419 
 23,110      Invacare Corp   174 
 16,105   *  iRhythm Technologies, Inc   3,835 
 56,682   *  Laboratory Corp of America Holdings   10,672 
 34,223   *  Lantheus Holdings, Inc   434 
 9,523      LeMaitre Vascular, Inc   310 
 17,004   *  LHC Group, Inc   3,614 
 33,006   *  LivaNova plc   1,492 
 31,655   *  Livongo Health, Inc   4,433 
 16,931   *  Magellan Health Services, Inc   1,283 
 29,131   *  Masimo Corp   6,877 
 94,443      McKesson Corp   14,065 
 43,753   *  MEDNAX, Inc   712 
 778,786      Medtronic plc   80,931 
 31,965   *  Meridian Bioscience, Inc   543 
 35,220   *  Merit Medical Systems, Inc   1,532 
 2,255      Mesa Laboratories, Inc   574 
 33,870   *  Molina Healthcare, Inc   6,200 
 7,753      National Healthcare Corp   483 
 5,598      National Research Corp   275 
 24,197   *  Natus Medical, Inc   414 
 35,733   *  Neogen Corp   2,796 
 19,942   *  Nevro Corp   2,778 
 37,773   *  NextGen Healthcare, Inc   481 
 54,721   *  Novocure Ltd   6,091 
 36,380   *  NuVasive, Inc   1,767 
 10,001   *  Oak Street Health, Inc   534 
 26,681   *  Omnicell, Inc   1,992 
 4,594   *,e  Ontrak, Inc   276 
 21,564   *  Option Care Health, Inc   288 
 40,487   *  OraSure Technologies, Inc   493 
 12,159   *  Orthofix Medical Inc   379 
 5,177   *,e  OrthoPediatrics Corp   238 
 43,714      Owens & Minor, Inc   1,098 
 57,408   e  Patterson Cos, Inc   1,384 
 17,723   *  Pennant Group, Inc   683 
 17,918   *  Penumbra, Inc   3,483 
 5,304   *,e  PetIQ, Inc   175 
 16,748   *  Phreesia, Inc   538 
 70,546   *  PPD, Inc   2,610 
 33,935      Premier, Inc   1,114 
 15,686   *,e  Progyny, Inc   462 
 8,662   *  Providence Service Corp   805 
 1,366   *,e  Pulse Biosciences, Inc   16 
 76,286      Quest Diagnostics, Inc   8,734 
 20,943   *  Quidel Corp   4,594 
 36,034   *  Quotient Ltd   185 
 72,154   *  R1 RCM, Inc   1,237 
 25,914   *  RadNet, Inc   398 
 83,296      Resmed, Inc   14,279 
288

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

          VALUE 
SHARES      COMPANY  (000) 
 37,335   *,e  Rockwell Medical, Inc  $40 
 15,644   *  SeaSpine Holdings Corp   224 
 77,335   *  Select Medical Holdings Corp   1,610 
 15,867   *  Shockwave Medical Inc   1,203 
 10,272   *  SI-BONE, Inc   244 
 10,185   *,e  Sientra, Inc   35 
 18,916   *  Silk Road Medical Inc   1,271 
 7,680      Simulations Plus, Inc   579 
 26,141   *  Staar Surgical Co   1,479 
 46,976      STERIS plc   8,277 
 202,312      Stryker Corp   42,156 
 38,631   *  Surgalign Holdings, Inc   70 
 13,353   *  Surgery Partners, Inc   292 
 10,275   *  SurModics, Inc   400 
 6,560   *,e  Tabula Rasa HealthCare, Inc   267 
 6,719   *  Tactile Systems Technology, Inc   246 
 35,006   *  Tandem Diabetes Care, Inc   3,973 
 44,411   *,e  Teladoc, Inc   9,737 
 26,634      Teleflex, Inc   9,067 
 59,665   *  Tenet Healthcare Corp   1,462 
 30,967   *,e  Tivity Health, Inc   434 
 11,786   *  Transmedics Group, Inc   162 
 18,960   *  Triple-S Management Corp (Class B)   339 
 548,416      UnitedHealth Group, Inc   170,980 
 44,084      Universal Health Services, Inc (Class B)   4,718 
 9,158   e  US Physical Therapy, Inc   796 
 2,349   e  Utah Medical Products, Inc   188 
 7,211   *  Vapotherm, Inc   209 
 27,229   *  Varex Imaging Corp   346 
 52,486   *  Varian Medical Systems, Inc   9,028 
 77,535   *  Veeva Systems, Inc   21,802 
 20,450   *,e  Viemed Healthcare, Inc   177 
 19,827   *,e  ViewRay, Inc   69 
 20,093   *,e  Vocera Communications, Inc   584 
 44,107      West Pharmaceutical Services, Inc   12,125 
 76,096   *,e  Wright Medical Group NV   2,324 
 120,493      Zimmer Biomet Holdings, Inc   16,404 
 9,856   e  Zynex Inc   172 
        TOTAL HEALTH CARE EQUIPMENT & SERVICES   1,271,162 
              
HOUSEHOLD & PERSONAL PRODUCTS - 1.7%      
 25,021   *  BellRing Brands, Inc   519 
 7,431   *,e  Central Garden & Pet Co   297 
 24,471   *  Central Garden and Pet Co (Class A)   884 
 139,764      Church & Dwight Co, Inc   13,097 
 72,404      Clorox Co   15,217 
 489,168      Colgate-Palmolive Co   37,739 
 215,270      Coty, Inc   581 
 41,449   *  Edgewell Personal Care Co   1,156 
 15,146   *  elf Beauty, Inc   278 
 37,105      Energizer Holdings, Inc   1,452 
 126,654      Estee Lauder Cos (Class A)   27,642 
 60,686   *  Herbalife Nutrition Ltd   2,831 
 12,258      Inter Parfums, Inc   458 
289

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

          VALUE 
SHARES      COMPANY  (000) 
 196,070      Kimberly-Clark Corp  $28,952 
 7,966      Medifast, Inc   1,310 
 5,868   *  Nature’s Sunshine Products, Inc   68 
 36,417      Nu Skin Enterprises, Inc (Class A)   1,824 
 3,981      Oil-Dri Corp of America   143 
 1,415,717      Procter & Gamble Co   196,771 
 8,319   *,e  Revlon, Inc (Class A)   53 
 29,272      Reynolds Consumer Products Inc   896 
 27,100      Spectrum Brands Holdings, Inc   1,549 
 8,349   *  USANA Health Sciences, Inc   615 
 7,178      WD-40 Co   1,359 
        TOTAL HOUSEHOLD & PERSONAL PRODUCTS   335,691 
              
INSURANCE - 3.2%     
 425,457      Aflac, Inc   15,465 
 8,152      Alleghany Corp   4,243 
 181,931      Allstate Corp   17,127 
 32,424   *  AMBAC Financial Group, Inc   414 
 39,602      American Equity Investment Life Holding Co   871 
 43,725      American Financial Group, Inc   2,929 
 496,335      American International Group, Inc   13,664 
 5,469      American National Group, Inc   369 
 13,468      Amerisafe, Inc   772 
 131,957      Aon plc   27,223 
 229,608   *  Arch Capital Group Ltd   6,716 
 24,041   *  Argo Group International Holdings Ltd   828 
 108,100      Arthur J. Gallagher & Co   11,413 
 35,672      Assurant, Inc   4,327 
 36,683      Assured Guaranty Ltd   788 
 69,091   *  Athene Holding Ltd   2,355 
 49,119      Axis Capital Holdings Ltd   2,163 
 1,113,115   *  Berkshire Hathaway, Inc (Class B)   237,027 
 37,914   *  Brighthouse Financial, Inc   1,020 
 131,778      Brown & Brown, Inc   5,966 
 11,865   *  BRP Group, Inc   296 
 259,826      Chubb Ltd   30,171 
 89,646      Cincinnati Financial Corp   6,990 
 32,879   *,e  Citizens, Inc (Class A)   182 
 6,112      CNA Financial Corp   183 
 66,761      Conseco, Inc   1,071 
 7,812      Donegal Group, Inc (Class A)   110 
 15,165   *  eHealth, Inc   1,198 
 23,170      Employers Holdings, Inc   701 
 5,156   *  Enstar Group Ltd   833 
 15,223      Erie Indemnity Co (Class A)   3,201 
 24,282      Everest Re Group Ltd   4,797 
 7,071      FBL Financial Group, Inc (Class A)   341 
 10,321      FedNat Holding Co   65 
 168,274      Fidelity National Financial Inc   5,269 
 67,815      First American Financial Corp   3,452 
 311,286   *  Genworth Financial, Inc (Class A)   1,043 
 59,180      Globe Life, Inc   4,728 
 24,045   *  GoHealth, Inc   313 
 6,616      Goosehead Insurance, Inc   573 
290

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

          VALUE 
SHARES      COMPANY  (000) 
 20,683   *,e  Greenlight Capital Re Ltd (Class A)  $139 
 22,092      Hanover Insurance Group, Inc   2,058 
 216,161      Hartford Financial Services Group, Inc   7,968 
 5,533      HCI Group, Inc   273 
 18,411      Heritage Insurance Holdings, Inc   186 
 29,606      Horace Mann Educators Corp   989 
 5,237      Independence Holding Co   197 
 1,119      Investors Title Co   146 
 12,617      James River Group Holdings Ltd   562 
 38,336      Kemper Corp   2,562 
 10,502      Kinsale Capital Group, Inc   1,997 
 7,374   *,e  Lemonade, Inc   367 
 108,445      Lincoln National Corp   3,398 
 126,990      Loews Corp   4,413 
 7,794   *  Markel Corp   7,589 
 293,121      Marsh & McLennan Cos, Inc   33,621 
 59,989   *  MBIA, Inc   364 
 20,342      Mercury General Corp   842 
 445,603      Metlife, Inc   16,563 
 35,673      National General Holdings Corp   1,204 
 1,551      National Western Life Group, Inc   283 
 7,308   *  NI Holdings, Inc   123 
 167,351      Old Republic International Corp   2,467 
 7,880   *  Palomar Holdings, Inc   821 
 23,895      Primerica, Inc   2,703 
 160,225      Principal Financial Group   6,452 
 37,307      ProAssurance Corp   583 
 338,974      Progressive Corp   32,091 
 6,904      Protective Insurance Corp   91 
 227,351      Prudential Financial, Inc   14,441 
 37,637      Reinsurance Group of America, Inc (Class A)   3,583 
 28,312      RenaissanceRe Holdings Ltd   4,806 
 23,570      RLI Corp   1,973 
 11,093      Safety Insurance Group, Inc   766 
 35,222      Selective Insurance Group, Inc   1,814 
 18,354   *  Selectquote, Inc   372 
 11,039      State Auto Financial Corp   152 
 15,315      Stewart Information Services Corp   670 
 51,271   *  Third Point Reinsurance Ltd   356 
 22,143      Tiptree Inc   110 
 147,161      Travelers Cos, Inc   15,921 
 15,868   *  Trupanion, Inc   1,252 
 16,104      United Fire Group Inc   327 
 12,682      United Insurance Holdings Corp   77 
 22,402      Universal Insurance Holdings, Inc   310 
 87,659      Unum Group   1,475 
 83,367      W.R. Berkley Corp   5,098 
 13,074   *  Watford Holdings Ltd   300 
 1,751      White Mountains Insurance Group Ltd   1,364 
 73,934      Willis Towers Watson plc   15,439 
        TOTAL INSURANCE   622,855 
              
MATERIALS - 2.8%     
 15,014   e  Advanced Emissions Solutions, Inc   61 
291

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

          VALUE 
SHARES      COMPANY  (000) 
 22,501   *  AdvanSix, Inc  $290 
 128,022      Air Products & Chemicals, Inc   38,133 
 60,026   e  Albemarle Corp   5,359 
 122,406   *  Alcoa Corp   1,424 
 78,013   *  Allegheny Technologies, Inc   680 
 960,658      Amcor plc   10,615 
 20,501      American Vanguard Corp   269 
 41,780   *  Amyris, Inc   122 
 36,989      Aptargroup, Inc   4,187 
 57,334   *  Arconic Corp   1,092 
 13,288      Ardagh Group S.A.   187 
 36,159      Ashland Global Holdings, Inc   2,564 
 52,341      Avery Dennison Corp   6,691 
 58,890      Avient Corp   1,558 
 113,646   *  Axalta Coating Systems Ltd   2,520 
 19,086      Balchem Corp   1,863 
 184,827      Ball Corp   15,363 
 79,377   *  Berry Global Group, Inc   3,835 
 27,727      Boise Cascade Co   1,107 
 31,457      Cabot Corp   1,133 
 31,590      Carpenter Technology Corp   574 
 68,757      Celanese Corp (Series A)   7,388 
 36,798   *  Century Aluminum Co   262 
 127,807      CF Industries Holdings, Inc   3,925 
 5,158      Chase Corp   492 
 96,050      Chemours Co   2,008 
 11,678   *  Clearwater Paper Corp   443 
 234,932   e  Cleveland-Cliffs, Inc   1,508 
 15,115   *  CMC Materials, Inc   2,159 
 119,550   *  Coeur Mining, Inc   882 
 66,530      Commercial Metals Co   1,329 
 20,319      Compass Minerals International, Inc   1,206 
 433,205      Corteva, Inc   12,481 
 68,490   *  Crown Holdings, Inc   5,264 
 32,116      Domtar Corp   844 
 437,855      Dow, Inc   20,601 
 429,890      DuPont de Nemours, Inc   23,850 
 24,696      Eagle Materials, Inc   2,132 
 73,320      Eastman Chemical Co   5,728 
 143,976      Ecolab, Inc   28,772 
 159,281   *  Element Solutions, Inc   1,674 
 60,041   *  Ferro Corp   745 
 47,286   *,†  Ferroglobe plc   0 
 71,763      FMC Corp   7,600 
 844,636      Freeport-McMoRan, Inc (Class B)   13,210 
 17,819      FutureFuel Corp   203 
 23,656   *  GCP Applied Technologies, Inc   496 
 39,231   *  Gold Resource Corp   134 
 145,764      Graphic Packaging Holding Co   2,054 
 18,292      Greif, Inc (Class A)   662 
 3,993      Greif, Inc (Class B)   158 
 34,325      H.B. Fuller Co   1,571 
 7,923      Hawkins, Inc   365 
 9,402      Haynes International, Inc   161 
292

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

          VALUE 
SHARES      COMPANY  (000) 
 335,463      Hecla Mining Co  $1,704 
 119,837      Huntsman Corp   2,662 
 30,403   *  Ingevity Corp   1,503 
 11,273      Innospec, Inc   714 
 60,340      International Flavors & Fragrances, Inc   7,389 
 235,393      International Paper Co   9,543 
 6,735   *  Intrepid Potash, Inc   57 
 12,178      Kaiser Aluminum Corp   653 
 15,231   *  Koppers Holdings, Inc   318 
 21,628   *  Kraton Corp   385 
 14,288   e  Kronos Worldwide, Inc   184 
 305,441      Linde plc   72,735 
 93,236   *  Livent Corp   836 
 61,245      Louisiana-Pacific Corp   1,807 
 145,406      LyondellBasell Industries NV   10,250 
 37,207      Martin Marietta Materials, Inc   8,757 
 14,781      Materion Corp   769 
 23,990      Minerals Technologies, Inc   1,226 
 201,587      Mosaic Co   3,683 
 18,118      Myers Industries, Inc   240 
 10,909      Neenah Inc   409 
 2,464      NewMarket Corp   843 
 464,145      Newmont Goldcorp Corp   29,450 
 149,512   *  Novagold Resources Inc   1,778 
 174,843      Nucor Corp   7,843 
 90,414      O-I Glass, Inc   957 
 85,291      Olin Corp   1,056 
 6,559      Olympic Steel, Inc   75 
 38,461      Orion Engineered Carbons SA   481 
 58,185      Packaging Corp of America   6,345 
 32,454      PH Glatfelter Co   447 
 134,727      PPG Industries, Inc   16,447 
 20,162   *  PQ Group Holdings, Inc   207 
 9,399      Quaker Chemical Corp   1,689 
 31,957   *  Rayonier Advanced Materials, Inc   102 
 31,705      Reliance Steel & Aluminum Co   3,235 
 41,577      Royal Gold, Inc   4,996 
 73,050      RPM International, Inc   6,051 
 8,418   *  Ryerson Holding Corp   48 
 19,399      Schnitzer Steel Industries, Inc (Class A)   373 
 20,766      Schweitzer-Mauduit International, Inc   631 
 24,552      Scotts Miracle-Gro Co (Class A)   3,754 
 93,004      Sealed Air Corp   3,609 
 23,291      Sensient Technologies Corp   1,345 
 47,690      Sherwin-Williams Co   33,228 
 30,024      Silgan Holdings, Inc   1,104 
 58,033      Sonoco Products Co   2,964 
 47,834      Southern Copper Corp (NY)   2,165 
 120,908      Steel Dynamics, Inc   3,462 
 14,267      Stepan Co   1,555 
 78,354   *  Summit Materials, Inc   1,296 
 48,451      SunCoke Energy, Inc   166 
 29,755   *  TimkenSteel Corp   106 
 15,246   *  Trecora Resources   94 
293

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

          VALUE 
SHARES      COMPANY  (000) 
 19,671      Tredegar Corp  $292 
 23,427      Trinseo S.A.   601 
 47,159      Tronox Holdings plc   371 
 31,994      UFP Industries, Inc   1,808 
 4,630   *  UFP Technologies, Inc   192 
 1,357      United States Lime & Minerals, Inc   122 
 113,186   e  United States Steel Corp   831 
 11,048   *  US Concrete, Inc   321 
 92,954      Valvoline, Inc   1,770 
 22,885      Verso Corp   181 
 80,224      Vulcan Materials Co   10,874 
 11,178      Warrior Met Coal, Inc   191 
 24,489      Westlake Chemical Corp   1,548 
 148,721      WestRock Co   5,167 
 13,987   *  Worthington Industries, Inc   570 
 32,691      WR Grace and Co   1,317 
        TOTAL MATERIALS   539,816 
              
MEDIA & ENTERTAINMENT - 8.1%     
 446,693      Activision Blizzard, Inc   36,160 
 174,390   *  Alphabet, Inc (Class A)   255,586 
 172,140   *  Alphabet, Inc (Class C)   252,977 
 172,741   *  Altice USA, Inc   4,491 
 39,663   e  AMC Entertainment Holdings, Inc   187 
 16,067   *  AMC Networks, Inc   397 
 7,321   *,e  Black Diamond Therapeutics, Inc   221 
 3,042      Cable One, Inc   5,735 
 15,383   *,e  Cardlytics, Inc   1,086 
 51,402   *  Cargurus, Inc   1,112 
 51,951   *  Cars.com, Inc   420 
 57,360   *  Central European Media Enterprises Ltd (Class A) (NASDAQ)   240 
 86,896   *  Charter Communications, Inc   54,253 
 76,895      Cinemark Holdings, Inc   769 
 2,642,640      Comcast Corp (Class A)   122,249 
 31,610   *  comScore, Inc   64 
 772   *,e  Daily Journal Corp   187 
 89,117   *,e  Discovery, Inc (Class A)   1,940 
 165,600   *  Discovery, Inc (Class C)   3,246 
 139,918   *  DISH Network Corp (Class A)   4,062 
 166,899   *  Electronic Arts, Inc   21,765 
 88,350      Entercom Communications Corp (Class A)   142 
 50,932      Entravision Communications Corp (Class A)   77 
 20,620   *,e  Eros International plc   46 
 23,593   *,e  Eventbrite Inc   256 
 8,345   *  EverQuote Inc   322 
 42,935      EW Scripps Co (Class A)   491 
 1,394,982   *  Facebook, Inc   365,346 
 10,504   *  Fluent, Inc   26 
 207,531      Fox Corp (Class A)   5,776 
 87,909      Fox Corp (Class B)   2,459 
 6,584   *  Gaia, Inc   65 
 83,211   e  Gannett Co, Inc   108 
 54,344   *  Glu Mobile, Inc   417 
294

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

          VALUE 
SHARES      COMPANY  (000) 
 46,930   *  Gray Television, Inc  $646 
 11,523   *  Hemisphere Media Group, Inc   100 
 35,623   *,e  iHeartMedia, Inc   289 
 42,177   *  Imax Corp   504 
 230,004      Interpublic Group of Cos, Inc   3,834 
 30,218      John Wiley & Sons, Inc (Class A)   958 
 7,655   *,e  Liberty Braves Group (Class A)   160 
 25,374   *  Liberty Braves Group (Class C)   533 
 12,929   *  Liberty Broadband Corp (Class A)   1,833 
 58,954   *  Liberty Broadband Corp (Class C)   8,423 
 15,619   *  Liberty Media Group (Class A)   523 
 123,792   *  Liberty Media Group (Class C)   4,490 
 50,898   *  Liberty SiriusXM Group (Class A)   1,688 
 98,761   *  Liberty SiriusXM Group (Class C)   3,267 
 53,282   *  Liberty TripAdvisor Holdings, Inc   92 
 37,150   *  Lions Gate Entertainment Corp (Class A)   352 
 71,817   *  Lions Gate Entertainment Corp (Class B)   626 
 88,266   *  Live Nation, Inc   4,756 
 9,932      Loral Space & Communications, Inc   182 
 13,200   *  Madison Square Garden Co   1,986 
 13,200   *  Madison Square Garden Entertainment Corp   904 
 14,211      Marcus Corp   110 
 127,795   *  Match Group, Inc   14,141 
 5,731      Meredith Corp   75 
 43,336   *,e  MSG Networks, Inc   415 
 46,358      National CineMedia, Inc   126 
 247,480   *  Netflix, Inc   123,747 
 89,935      New York Times Co (Class A)   3,848 
 232,243      News Corp (Class A)   3,256 
 86,319      News Corp (Class B)   1,207 
 26,017      Nexstar Media Group Inc   2,340 
 120,575      Omnicom Group, Inc   5,968 
 226,806   *  Pinterest, Inc   9,415 
 20,643   *  QuinStreet, Inc   327 
 61,383   *  Roku, Inc   11,589 
 3,161      Saga Communications, Inc   63 
 19,984      Scholastic Corp   419 
 42,650   e  Sinclair Broadcast Group, Inc (Class A)   820 
 604,849      Sirius XM Holdings, Inc   3,242 
 76,607   *  Spotify Technology S.A.   18,583 
 65,316   *  Take-Two Interactive Software, Inc   10,792 
 12,153   *  TechTarget, Inc   534 
 119,764      TEGNA, Inc   1,407 
 15,283   e  Tribune Publishing Co   178 
 71,015      TripAdvisor, Inc   1,391 
 44,667   *  TrueCar, Inc   223 
 447,169   *  Twitter, Inc   19,899 
 4,594      ViacomCBS, Inc (Class A)   139 
 313,588      ViacomCBS, Inc (Class B)   8,784 
 1,052,417      Walt Disney Co   130,584 
 15,148   *  WideOpenWest, Inc   79 
 27,047      World Wrestling Entertainment, Inc (Class A)   1,095 
 41,665   *  Yelp, Inc   837 
 30,754   *  Zillow Group, Inc (Class A)   3,123 
295

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

          VALUE 
SHARES      COMPANY  (000) 
 76,096   *  Zillow Group, Inc (Class C)  $7,731 
 549,506   *  Zynga, Inc   5,012 
        TOTAL MEDIA & ENTERTAINMENT   1,570,323 
              
PHARMACEUTICALS, BIOTECHNOLOGY & LIFE SCIENCES - 7.9%     
 32,568   *  10X Genomics, Inc   4,061 
 1,025,279      AbbVie, Inc   89,804 
 35,579   *  Abeona Therapeutics, Inc   36 
 70,913   *  Acadia Pharmaceuticals, Inc   2,925 
 18,841   *,e  Accelerate Diagnostics, Inc   201 
 27,490   *  Acceleron Pharma, Inc   3,093 
 41,261   *  Adaptive Biotechnologies Corp   2,007 
 42,500   *,e  ADMA Biologics, Inc   102 
 39,587   *  Aduro Biotech, Inc   96 
 36,900   *  Adverum Biotechnologies, Inc   380 
 25,056   *  Aeglea BioTherapeutics, Inc   178 
 21,807   *,e  Aerie Pharmaceuticals, Inc   257 
 43,765   *  Affimed NV   148 
 56,789   *  Agenus, Inc   227 
 179,262      Agilent Technologies, Inc   18,095 
 34,493   *  Agios Pharmaceuticals, Inc   1,207 
 25,712   *,e  Aimmune Therapeutics, Inc   886 
 10,845   *  Akcea Therapeutics, Inc   197 
 62,063   *  Akebia Therapeutics, Inc   156 
 6,662   *  Akero Therapeutics, Inc   205 
 8,375   *  Akouos, Inc   192 
 6,175   *  Albireo Pharma, Inc   206 
 34,164   *,†  Alder Biopharmaceuticals Inc   30 
 19,353   *  Alector, Inc   204 
 124,174   *  Alexion Pharmaceuticals, Inc   14,209 
 110,420   *  Alkermes plc   1,830 
 12,247   *,e  Allakos, Inc   998 
 28,864   *  Allogene Therapeutics, Inc   1,088 
 10,335   *  Allovir, Inc   284 
 68,830   *  Alnylam Pharmaceuticals, Inc   10,022 
 5,521   *  ALX Oncology Holdings, Inc   208 
 25,493   *,e  AMAG Pharmaceuticals, Inc   240 
 344,082      Amgen, Inc   87,452 
 151,298   *  Amicus Therapeutics, Inc   2,136 
 53,162   *,e  Amneal Pharmaceuticals, Inc   206 
 25,774   *  Amphastar Pharmaceuticals, Inc   483 
 12,566   *  AnaptysBio, Inc   185 
 30,524   *,e  Anavex Life Sciences Corp   139 
 5,767   *  ANI Pharmaceuticals, Inc   163 
 10,943   *  Anika Therapeutics, Inc   387 
 43,255   *  Apellis Pharmaceuticals, Inc   1,305 
 7,158   *  Applied Molecular Transport, Inc   228 
 2,776   *  Applied Therapeutics, Inc   58 
 4,282   *  Aprea Therapeutics, Inc   103 
 7,756   *  Arcturus Therapeutics Holdings, Inc   333 
 20,717   *  Arcus Biosciences, Inc   355 
 5,644   *,e  Arcutis Biotherapeutics, Inc   165 
 22,973   *  Ardelyx, Inc   121 
 33,642   *  Arena Pharmaceuticals, Inc   2,516 
296

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

          VALUE 
SHARES      COMPANY  (000) 
 58,978   *  Arrowhead Pharmaceuticals Inc  $2,540 
 11,368   *  Arvinas, Inc   268 
 10,043   *  Assembly Biosciences, Inc   165 
 34,194   *  Atara Biotherapeutics, Inc   443 
 28,525   *  Athenex, Inc   345 
 52,762   *,e  Athersys, Inc   103 
 12,676   *  Atreca, Inc   177 
 246,549   *  Avantor, Inc   5,545 
 33,858   *  Avid Bioservices, Inc   258 
 9,645   *  Avidity Biosciences, Inc   272 
 13,157   *,e  Avrobio, Inc   171 
 15,727   *  Axsome Therapeutics, Inc   1,121 
 7,336   *,e  Beam Therapeutics, Inc   181 
 5,427   *  Berkeley Lights, Inc   414 
 68,998   *  BioCryst Pharmaceuticals, Inc   237 
 52,671   *  BioDelivery Sciences International, Inc   196 
 91,613   *  Biogen, Inc   25,989 
 28,080   *  Biohaven Pharmaceutical Holding Co Ltd   1,825 
 108,133   *  BioMarin Pharmaceutical, Inc   8,227 
 12,637   *  Bio-Rad Laboratories, Inc (Class A)   6,514 
 3,856   *  Biospecifics Technologies Corp   204 
 23,799      Bio-Techne Corp   5,896 
 6,302   *  Bioxcel Therapeutics Inc   273 
 33,689   *  Bluebird Bio, Inc   1,818 
 28,144   *  Blueprint Medicines Corp   2,609 
 15,901   *,e  BrainStorm Cell Therapeutics, Inc   269 
 46,072   *,e  Bridgebio Pharma, Inc   1,729 
 1,314,254      Bristol-Myers Squibb Co   79,236 
 63,170      Bruker BioSciences Corp   2,511 
 21,820   *  Calithera Biosciences, Inc   75 
 5,849   *,e  Calyxt, Inc   32 
 19,366   *,e  Cara Therapeutics, Inc   246 
 21,908   *  CareDx, Inc   831 
 33,837   *  CASI Pharmaceuticals, Inc   52 
 6,101   *  Castle Biosciences, Inc   314 
 90,837   *  Catalent, Inc   7,781 
 50,782   *  Catalyst Pharmaceuticals, Inc   151 
 20,222   *,e  CEL-SCI Corp   258 
 27,950   *  Charles River Laboratories International, Inc   6,329 
 26,464   *  ChemoCentryx, Inc   1,450 
 21,853   *  Chiasma, Inc   94 
 30,594   *  Chimerix, Inc   76 
 28,650   *,e  Clovis Oncology, Inc   167 
 23,538   *  Codexis, Inc   276 
 27,864   *  Coherus Biosciences, Inc   511 
 16,286   *  Collegium Pharmaceutical, Inc   339 
 11,239   *  Concert Pharmaceuticals, Inc   110 
 9,720   *  Constellation Pharmaceuticals, Inc   197 
 32,828   *,e  Corbus Pharmaceuticals Holdings, Inc   59 
 65,375   *,e  Corcept Therapeutics, Inc   1,138 
 7,159   *,e  Cortexyme Inc   358 
 16,128   *  Crinetics Pharmaceuticals, Inc   253 
 11,975   *  Cue Biopharma, Inc   180 
 39,943   *  Cymabay Therapeutics, Inc   289 
297

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

          VALUE 
SHARES      COMPANY  (000) 
 30,153   *  Cytokinetics, Inc  $653 
 21,311   *  CytomX Therapeutics, Inc   142 
 22,263   *  Deciphera Pharmaceuticals, Inc   1,142 
 35,588   *  Denali Therapeutics, Inc   1,275 
 30,105   *  Dicerna Pharmaceuticals, Inc   542 
 117,742   *  Durect Corp   201 
 35,256   *,e  Dynavax Technologies Corp   152 
 6,368   *  Eagle Pharmaceuticals, Inc   271 
 24,325   *  Editas Medicine, Inc   683 
 10,671   *  Eidos Therapeutics, Inc   539 
 14,062   *  Eiger BioPharmaceuticals, Inc   114 
 242,355   *  Elanco Animal Health, Inc   6,769 
 491,420      Eli Lilly & Co   72,740 
 14,575   *,e  Eloxx Pharmaceuticals, Inc   38 
 24,015   *  Emergent Biosolutions, Inc   2,481 
 11,786   *  Enanta Pharmaceuticals, Inc   540 
 161,263   *  Endo International plc   532 
 56,660   *,e  Epizyme, Inc   676 
 9,694   *,e  Esperion Thereapeutics, Inc   360 
 13,985   *,e  Evofem Biosciences Inc   33 
 85,635   *  Exact Sciences Corp   8,730 
 189,826   *  Exelixis, Inc   4,641 
 42,216   *,e  Fate Therapeutics, Inc   1,687 
 50,667   *  FibroGen, Inc   2,083 
 19,800   *  Five Prime Therapeutics, Inc   93 
 19,463   *,e  Flexion Therapeutics, Inc   203 
 20,851   *,e  Fluidigm Corp   155 
 9,293   *  Forma Therapeutics Holdings, Inc   463 
 16,778   *,e  Frequency Therapeutics, Inc   322 
 20,311   *  G1 Therapeutics, Inc   235 
 7,088   *  Generation Bio Co   219 
 114,325   *,e  Geron Corp   199 
 733,562      Gilead Sciences, Inc   46,354 
 36,433   *  Global Blood Therapeutics, Inc   2,009 
 22,784   *  GlycoMimetics, Inc   70 
 12,922   *  Gossamer Bio, Inc   160 
 79,065   *  Halozyme Therapeutics, Inc   2,078 
 52,161   *,e  Heron Therapeutics, Inc   773 
 11,341   *  Homology Medicines, Inc   121 
 109,952   *  Horizon Therapeutics Plc   8,541 
 2,211   *,e  IGM Biosciences, Inc   163 
 86,212   *  Illumina, Inc   26,646 
 65,469   *  Immunogen, Inc   236 
 124,048   *  Immunomedics, Inc   10,548 
 11,380   *  Immunovant, Inc   400 
 110,207   *  Incyte Corp   9,890 
 55,553   *  Innoviva, Inc   581 
 85,599   *,e  Inovio Pharmaceuticals, Inc   993 
 60,247   *  Insmed, Inc   1,936 
 10,757   *,e  Intellia Therapeutics, Inc   214 
 12,921   *  Intercept Pharmaceuticals, Inc   536 
 18,642   *  Intersect ENT, Inc   304 
 25,348   *  Intra-Cellular Therapies, Inc   650 
 68,678   *,e  Invitae Corp   2,977 
298

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

          VALUE 
SHARES      COMPANY  (000) 
 79,163   *  Ionis Pharmaceuticals, Inc  $3,756 
 74,052   *  Iovance Biotherapeutics, Inc   2,438 
 110,831   *  IQVIA Holdings, Inc   17,470 
 95,014   *  Ironwood Pharmaceuticals, Inc   855 
 26,875   *  IVERIC bio, Inc   152 
 32,370   *  Jazz Pharmaceuticals plc   4,616 
 1,531,898      Johnson & Johnson   228,069 
 4,482   *  Jounce Therapeutics, Inc   37 
 47,099   *  Kadmon Holdings, Inc   185 
 5,857   *,e  Kala Pharmaceuticals, Inc   44 
 9,228   *  Karuna Therapeutics, Inc   714 
 46,110   *,e  Karyopharm Therapeutics, Inc   673 
 4,158   *  Keros Therapeutics, Inc   160 
 15,620   *  Kindred Biosciences, Inc   67 
 11,321   *  Kiniksa Pharmaceuticals Ltd   173 
 15,063   *,e  Kodiak Sciences, Inc   892 
 5,660   *  Krystal Biotech Inc   244 
 31,598   *  Kura Oncology, Inc   968 
 12,410   *,e  La Jolla Pharmaceutical Co   50 
 19,506   *,e  Lannett Co, Inc   119 
 30,110   *,e  Lexicon Pharmaceuticals, Inc   43 
 8,586   *,e  Ligand Pharmaceuticals, Inc (Class B)   818 
 31,134      Luminex Corp   817 
 23,459   *  MacroGenics, Inc   591 
 3,934   *  Madrigal Pharmaceuticals, Inc   467 
 94,899   *,e  MannKind Corp   178 
 6,168   *,e  Marinus Pharmaceuticals, Inc   79 
 22,034   *,e  MediciNova, Inc   115 
 17,824   *  Medpace Holdings, Inc   1,992 
 61,495   *  MEI Pharma, Inc   192 
 10,086   *  MeiraGTx Holdings plc   134 
 1,469,193      Merck & Co, Inc   121,870 
 27,294   *  Mersana Therapeutics, Inc   508 
 13,612   *  Mettler-Toledo International, Inc   13,146 
 18,922   *  Minerva Neurosciences, Inc   60 
 21,876   *  Mirati Therapeutics, Inc   3,633 
 160,850   *  Moderna, Inc   11,380 
 33,966   *  Molecular Templates, Inc   371 
 71,708   *  Momenta Pharmaceuticals, Inc   3,763 
 8,159   *,e  Morphic Holding, Inc   223 
 283,232   *  Mylan NV   4,200 
 29,919   *  MyoKardia, Inc   4,079 
 46,607   *  Myriad Genetics, Inc   608 
 22,499   *  NanoString Technologies, Inc   1,006 
 17,123   *,e  NantKwest, Inc   119 
 39,201   *  Natera, Inc   2,832 
 106,507   *  Nektar Therapeutics   1,767 
 58,635   *  NeoGenomics, Inc   2,163 
 17,673   *  Neoleukin Therapeutics, Inc   212 
 57,167   *  Neurocrine Biosciences, Inc   5,497 
 8,857   *,e  NextCure Inc   78 
 15,360   *,e  NGM Biopharmaceuticals Inc   244 
 9,374   *  Nkarta, Inc   282 
 34,678   *,e  Novavax, Inc   3,757 
299

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

          VALUE 
SHARES      COMPANY  (000) 
 6,406   *  Nurix Therapeutics, Inc  $224 
 13,115   *,e  Ocular Therapeutix, Inc   100 
 7,487   *  Odonate Therapeutics, Inc   101 
 29,642   *,e  Omeros Corp   300 
 238,337   *,e  Opko Health, Inc   879 
 10,903   *,e  Optinose, Inc   43 
 5,193   *  ORIC Pharmaceuticals, Inc   130 
 25,504   *,e  Ovid therapeutics, Inc   146 
 55,440   *,e  Pacific Biosciences of California, Inc   547 
 28,237   *  Pacira BioSciences Inc   1,698 
 17,330   *,e  Paratek Pharmaceuticals, Inc   94 
 8,093   *  Passage Bio, Inc   106 
 120,653   *  PDL BioPharma, Inc   380 
 66,642   *  PerkinElmer, Inc   8,364 
 81,033      Perrigo Co plc   3,720 
 11,655   *  Personalis, Inc   253 
 3,240,956      Pfizer, Inc   118,943 
 6,396   *,e  Phathom Pharmaceuticals, Inc   235 
 12,927      Phibro Animal Health Corp   225 
 24,527   *,e  Pieris Pharmaceuticals, Inc   51 
 34,913   *  PRA Health Sciences, Inc   3,542 
 22,592   *  Precision BioSciences Inc   139 
 38,233   *  Prestige Consumer Healthcare, Inc.   1,392 
 51,583   *,†  Progenics Pharmaceuticals, Inc   0 
 13,443   *  Protagonist Therapeutics, Inc   263 
 27,579   *  Prothena Corp plc   276 
 25,243   *,e  Provention Bio, Inc   324 
 37,990   *  PTC Therapeutics, Inc   1,776 
 20,506   *  Puma Biotechnology, Inc   207 
 125,141   *  QIAGEN NV   6,540 
 6,148   *,e  Quanterix Corp   207 
 27,010   *  Radius Health, Inc   306 
 6,533   *,e  RAPT Therapeutics, Inc   210 
 12,412   *  Reata Pharmaceuticals, Inc   1,209 
 8,471   *  Recro Pharma, Inc   18 
 56,813   *  Regeneron Pharmaceuticals, Inc   31,803 
 19,715   *  REGENXBIO, Inc   543 
 18,557   *  Relay Therapeutics, Inc   790 
 8,368   *,e  Relmada Therapeutics, Inc   315 
 33,047   *  Repligen Corp   4,876 
 10,254   *  Replimune Group, Inc   236 
 25,726   *,e  Retrophin, Inc   475 
 33,815   *  Revance Therapeutics, Inc   850 
 8,731   *  REVOLUTION Medicines, Inc   304 
 6,147   *  Rhythm Pharmaceuticals, Inc   133 
 86,450   *  Rigel Pharmaceuticals, Inc   207 
 20,281   *  Rocket Pharmaceuticals, Inc   464 
 49,384      Royalty Pharma plc   2,078 
 22,395   *,e  Rubius Therapeutics, Inc   112 
 32,762   *  Sage Therapeutics, Inc   2,002 
 52,234   *  Sangamo Therapeutics Inc   494 
 44,554   *  Sarepta Therapeutics, Inc   6,257 
 5,477   *,e  Satsuma Pharmaceuticals, Inc   21 
 28,365   *  Scholar Rock Holding Corp   502 
300

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

          VALUE 
SHARES      COMPANY  (000) 
 8,484   *  Schrodinger, Inc  $403 
 72,859   *  Seattle Genetics, Inc   14,258 
 13,345   *  Seres Therapeutics, Inc   378 
 35,191   *  SIGA Technologies, Inc   242 
 6,168   *,e  Solid Biosciences, Inc   13 
 127,563   *,e  Sorrento Therapeutics, Inc   1,422 
 56,104   *  Spectrum Pharmaceuticals, Inc   229 
 6,568   *  SpringWorks Therapeutics, Inc   313 
 10,464   *,e  Stoke Therapeutics, Inc   350 
 34,621   *  Supernus Pharmaceuticals, Inc   721 
 6,983   *  Syndax Pharmaceuticals, Inc   103 
 39,474   *  Syneos Health, Inc   2,098 
 9,466   *  Syros Pharmaceuticals, Inc   84 
 9,709   *  TCR2 Therapeutics Inc   197 
 57,481   *  TG Therapeutics, Inc   1,538 
 114,084   *,e  TherapeuticsMD, Inc   180 
 29,259   *  Theravance Biopharma, Inc   433 
 229,432      Thermo Fisher Scientific, Inc   101,299 
 18,965   *  Translate Bio, Inc   258 
 7,799   *  Tricida, Inc   71 
 17,419   *  Turning Point Therapeutics Inc   1,522 
 13,734   *  Twist Bioscience Corp   1,043 
 68,656   *,e  Tyme Technologies, Inc   67 
 33,751   *,e  Ultragenyx Pharmaceutical, Inc   2,774 
 28,234   *  United Therapeutics Corp   2,852 
 16,428   *,e  UNITY Biotechnology, Inc   57 
 12,098   *,e  UroGen Pharma Ltd   233 
 31,395   *  Vanda Pharmaceuticals, Inc   303 
 30,212   *,e  Vaxart, Inc   201 
 10,502   *  Vaxcyte, Inc   519 
 102,172   *,e  VBI Vaccines, Inc   292 
 29,749   *,e  Veracyte, Inc   967 
 97,480   *,e  Verastem, Inc   118 
 24,994   *  Vericel Corp   463 
 150,761   *  Vertex Pharmaceuticals, Inc   41,025 
 11,899   *,e  Viela Bio, Inc   334 
 29,514   *,e  Viking Therapeutics, Inc   172 
 27,553   *  Vir Biotechnology, Inc   946 
 8,673   *  Voyager Therapeutics, Inc   93 
 36,641   *  Waters Corp   7,170 
 39,150   *  WaVe Life Sciences Ltd   332 
 11,934   *,e  XBiotech, Inc   228 
 27,098   *  Xencor, Inc   1,051 
 13,141   *  Y-mAbs Therapeutics, Inc   504 
 6,160   *  Zentalis Pharmaceuticals, Inc   201 
 90,754   *,e  ZIOPHARM Oncology, Inc   229 
 277,202      Zoetis, Inc   45,841 
 33,098   *  Zogenix, Inc   593 
        TOTAL PHARMACEUTICALS, BIOTECHNOLOGY & LIFE SCIENCES   1,535,338 
              
REAL ESTATE - 3.3%     
 36,029      Acadia Realty Trust   378 
 31,682      Agree Realty Corp   2,016 
 47,563      Alexander & Baldwin, Inc   533 
301

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

          VALUE 
SHARES      COMPANY  (000) 
 1,329      Alexander’s, Inc  $326 
 71,512      Alexandria Real Estate Equities, Inc   11,442 
 8,343   *,e  Altisource Portfolio Solutions S.A.   106 
 28,646      American Assets Trust, Inc   690 
 84,782      American Campus Communities, Inc   2,961 
 68,972      American Finance Trust, Inc   432 
 164,177      American Homes 4 Rent   4,676 
 255,541      American Tower Corp   61,772 
 109,124      Americold Realty Trust   3,901 
 80,063      Apartment Investment & Management Co   2,700 
 113,878   *  Apple Hospitality REIT, Inc   1,094 
 31,681      Armada Hoffler Properties, Inc   293 
 84,670      AvalonBay Communities, Inc   12,645 
 16,903      Bluerock Residential Growth REIT, Inc   128 
 94,112      Boston Properties, Inc   7,557 
 121,360      Brandywine Realty Trust   1,255 
 188,541      Brixmor Property Group, Inc   2,204 
 43,270   e  Brookfield Property REIT, Inc   530 
 56,479      Camden Property Trust   5,025 
 50,740      CareTrust REIT, Inc   903 
 29,192      CatchMark Timber Trust, Inc   261 
 194,298   *  CBRE Group, Inc   9,126 
 28,285      Chatham Lodging Trust   216 
 21,833      City Office REIT, Inc   164 
 10,462      Clipper Realty, Inc   63 
 350,580      Colony Capital, Inc   957 
 35,353      Columbia Property Trust, Inc   386 
 9,586      Community Healthcare Trust, Inc   448 
 49,610      CoreCivic, Inc   397 
 9,299      CorEnergy Infrastructure Trust, Inc   54 
 7,951      CorePoint Lodging, Inc   43 
 24,055      Coresite Realty   2,860 
 72,219      Corporate Office Properties Trust   1,713 
 84,914      Cousins Properties, Inc   2,428 
 242,622      Crown Castle International Corp   40,397 
 3,235      CTO Realty Growth, Inc   143 
 114,248      CubeSmart   3,691 
 66,192   *  Cushman & Wakefield plc   696 
 65,743      CyrusOne, Inc   4,604 
 144,818      DiamondRock Hospitality Co   734 
 154,444      Digital Realty Trust, Inc   22,666 
 136,618      Diversified Healthcare Trust   481 
 102,445      Douglas Emmett, Inc   2,571 
 204,536      Duke Realty Corp   7,547 
 45,779      Easterly Government Properties, Inc   1,026 
 23,644      EastGroup Properties, Inc   3,058 
 7,981      Empire State Realty Trust, Inc   49 
 45,571      EPR Properties   1,253 
 50,969      Equinix, Inc   38,743 
 62,602      Equity Commonwealth   1,667 
 106,022      Equity Lifestyle Properties, Inc   6,499 
 209,454      Equity Residential   10,751 
 50,764      Essential Properties Realty Trust, Inc   930 
 39,045      Essex Property Trust, Inc   7,840 
302

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

          VALUE 
SHARES      COMPANY  (000) 
 14,218   *  eXp World Holdings Inc  $574 
 77,495      Extra Space Storage, Inc   8,291 
 19,962   e  Farmland Partners, Inc   133 
 43,819      Federal Realty Investment Trust   3,218 
 67,202      First Industrial Realty Trust, Inc   2,675 
 425   *  Forestar Group, Inc   7 
 44,705      Four Corners Property Trust, Inc   1,144 
 72,511      Franklin Street Properties Corp   265 
 37,147      Front Yard Residential Corp   325 
 4,942   *  FRP Holdings, Inc   206 
 112,609      Gaming and Leisure Properties, Inc   4,159 
 42,598      Geo Group, Inc   483 
 18,198      Getty Realty Corp   473 
 17,811      Gladstone Commercial Corp   300 
 11,325      Gladstone Land Corp   170 
 10,990      Global Medical REIT, Inc   148 
 44,961      Global Net Lease, Inc   715 
 82,789      Healthcare Realty Trust, Inc   2,494 
 142,087      Healthcare Trust of America, Inc   3,694 
 322,762      Healthpeak Properties Inc   8,763 
 27,708      Hersha Hospitality Trust   153 
 59,455      Highwoods Properties, Inc   1,996 
 443,417      Host Hotels and Resorts, Inc   4,784 
 13,982   *  Howard Hughes Corp   805 
 96,055      Hudson Pacific Properties   2,106 
 48,914   e  Independence Realty Trust, Inc   567 
 34,891      Industrial Logistics Properties Trust   763 
 7,824      Innovative Industrial Properties, Inc   971 
 9,060      Investors Real Estate Trust   590 
 325,872      Invitation Homes, Inc   9,121 
 172,480   e  Iron Mountain, Inc   4,621 
 49,646      iStar Inc   586 
 64,898      JBG SMITH Properties   1,735 
 6,203   e  Jernigan Capital, Inc   106 
 25,075      Jones Lang LaSalle, Inc   2,399 
 84,885      Kennedy-Wilson Holdings, Inc   1,233 
 60,054      Kilroy Realty Corp   3,120 
 238,176      Kimco Realty Corp   2,682 
 55,102      Kite Realty Group Trust   638 
 51,720      Lamar Advertising Co   3,422 
 144,484      Lexington Realty Trust   1,510 
 25,812      Life Storage, Inc   2,717 
 26,668      LTC Properties, Inc   930 
 26,908   e  Macerich Co   183 
 65,387      Mack-Cali Realty Corp   825 
 11,498   *  Marcus & Millichap, Inc   316 
 4,532   *  Maui Land & Pineapple Co, Inc   49 
 294,106      Medical Properties Trust, Inc   5,185 
 68,412      Mid-America Apartment Communities, Inc   7,932 
 50,307      Monmouth Real Estate Investment Corp (Class A)   697 
 19,871      National Health Investors, Inc   1,198 
 102,134      National Retail Properties, Inc   3,525 
 31,451      National Storage Affiliates Trust   1,029 
 55,714      New Senior Investment Group, Inc   223 
303

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

          VALUE 
SHARES      COMPANY  (000) 
 22,112      Newmark Group, Inc  $96 
 12,730      NexPoint Residential Trust, Inc   565 
 23,677      Office Properties Income Trust   491 
 129,929      Omega Healthcare Investors, Inc   3,890 
 9,122      One Liberty Properties, Inc   149 
 76,197      Outfront Media, Inc   1,109 
 73,752      Paramount Group, Inc   522 
 161,864      Park Hotels & Resorts, Inc   1,617 
 85,851      Pebblebrook Hotel Trust   1,076 
 107,460      Physicians Realty Trust   1,925 
 72,743      Piedmont Office Realty Trust, Inc   987 
 47,001      PotlatchDeltic Corp   1,979 
 21,687      Preferred Apartment Communities, Inc   117 
 424,242      Prologis, Inc   42,687 
 13,748      PS Business Parks, Inc   1,683 
 87,397      Public Storage, Inc   19,465 
 34,553      QTS Realty Trust, Inc   2,178 
 68,743      Rayonier, Inc   1,818 
 13,117      Re/Max Holdings, Inc   429 
 75,694      Realogy Holdings Corp   715 
 204,582      Realty Income Corp   12,428 
 57,095   *  Redfin Corp   2,851 
 100,880      Regency Centers Corp   3,835 
 78,162      Retail Opportunities Investment Corp   814 
 173,060      Retail Properties of America, Inc   1,005 
 11,072      Retail Value, Inc   139 
 67,055      Rexford Industrial Realty, Inc   3,068 
 92,471      RLJ Lodging Trust   801 
 5,123      RMR Group, Inc   141 
 57,913      RPT Realty   315 
 24,668      Ryman Hospitality Properties   908 
 116,469      Sabra Healthcare REIT, Inc   1,606 
 7,521      Safehold, Inc   467 
 6,451      Saul Centers, Inc   171 
 64,333      SBA Communications Corp   20,489 
 18,501   *,e  Seritage Growth Properties   249 
 26,185      Service Properties Trust   208 
 182,204      Simon Property Group, Inc   11,785 
 103,764      SITE Centers Corp   747 
 38,290      SL Green Realty Corp   1,775 
 56,193      Spirit Realty Capital, Inc   1,896 
 33,773   *  St. Joe Co   697 
 84,224      STAG Industrial, Inc   2,568 
 121,165      STORE Capital Corp   3,324 
 4,495   *  Stratus Properties, Inc   97 
 73,018      Summit Hotel Properties, Inc   378 
 56,879      Sun Communities, Inc   7,998 
 159,024      Sunstone Hotel Investors, Inc   1,263 
 67,688   e  Tanger Factory Outlet Centers, Inc   408 
 31,888      Taubman Centers, Inc   1,062 
 12,164   *  Tejon Ranch Co   172 
 35,329      Terreno Realty Corp   1,935 
 175,727      UDR, Inc   5,730 
 20,169      UMH Properties, Inc   273 
304

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

          VALUE 
SHARES      COMPANY  (000) 
 119,952      Uniti Group, Inc  $1,264 
 9,264      Universal Health Realty Income Trust   528 
 70,770      Urban Edge Properties   688 
 20,808      Urstadt Biddle Properties, Inc (Class A)   191 
 223,467      Ventas, Inc   9,377 
 661,427      VEREIT, Inc   4,299 
 309,977      VICI Properties, Inc   7,244 
 109,042      Vornado Realty Trust   3,676 
 30,441      Washington REIT   613 
 67,227      Weingarten Realty Investors   1,140 
 243,431      Welltower, Inc   13,411 
 417,868      Weyerhaeuser Co   11,918 
 25,132   *  Whitestone REIT   151 
 102,407      WP Carey, Inc   6,673 
 79,064      Xenia Hotels & Resorts, Inc   694 
        TOTAL REAL ESTATE   641,951 
              
RETAILING - 7.5%     
 18,290   *  1-800-FLOWERS.COM, Inc (Class A)   456 
 36,804      Aaron’s, Inc   2,085 
 36,579      Abercrombie & Fitch Co (Class A)   510 
 39,176      Advance Auto Parts, Inc   6,014 
 246,330   *  Amazon.com, Inc   775,627 
 117,400   e  American Eagle Outfitters, Inc   1,739 
 5,481   *  America’s Car-Mart, Inc   465 
 12,332   *  Asbury Automotive Group, Inc   1,202 
 17,984   *  At Home Group, Inc   267 
 35,195   *  Autonation, Inc   1,863 
 13,297   *  AutoZone, Inc   15,659 
 76,045   e  Bed Bath & Beyond, Inc   1,139 
 129,220      Best Buy Co, Inc   14,381 
 20,052      Big Lots, Inc   894 
 81,482   *  BJ’s Wholesale Club Holdings, Inc   3,386 
 23,860   *  Booking Holdings, Inc   40,817 
 9,762   *  Boot Barn Holdings, Inc   275 
 14,004   e  Buckle, Inc   286 
 38,902   *  Burlington Stores, Inc   8,017 
 28,267      Caleres, Inc   270 
 22,123      Camping World Holdings, Inc   658 
 97,372   *  CarMax, Inc   8,949 
 32,716   *  Carvana Co   7,298 
 12,003      Cato Corp (Class A)   94 
 12,596   e  Children’s Place, Inc   357 
 11,556      Citi Trends, Inc   289 
 13,169   *,e  Conn’s, Inc   139 
 11,400   *  Container Store Group, Inc   71 
 33,096      Core-Mark Holding Co, Inc   957 
 49,292      Designer Brands, Inc   268 
 38,579      Dick’s Sporting Goods, Inc   2,233 
 3,340   e  Dillard’s, Inc (Class A)   122 
 145,399      Dollar General Corp   30,479 
 136,905   *  Dollar Tree, Inc   12,505 
 7,236   *,e  Duluth Holdings, Inc   88 
 389,824      eBay, Inc   20,310 
305

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

          VALUE 
SHARES      COMPANY  (000) 
 70,655   *  Etsy, Inc  $8,594 
 78,395      Expedia Group, Inc   7,188 
 34,498   *  Five Below, Inc   4,381 
 48,609   *  Floor & Decor Holdings, Inc   3,636 
 58,795      Foot Locker, Inc   1,942 
 10,965   *,e  Funko, Inc   63 
 67,461   *,e  GameStop Corp (Class A)   688 
 99,905      Gap, Inc   1,701 
 13,677   *  Genesco, Inc   295 
 81,090      Genuine Parts Co   7,717 
 11,094   e  Group 1 Automotive, Inc   981 
 12,244   *  Groupon, Inc   250 
 20,639   *,e  GrowGeneration Corp   330 
 53,119   *  GrubHub, Inc   3,842 
 10,337      Guess?, Inc   120 
 13,840      Haverty Furniture Cos, Inc   290 
 16,994   *,e  Hibbett Sports, Inc   666 
 624,053      Home Depot, Inc   173,306 
 27,375   *  Hudson Ltd   208 
 101,978      Kohl’s Corp   1,890 
 132,963      L Brands, Inc   4,230 
 9,431   *  Lands’ End, Inc   123 
 19,090   *  Liquidity Services, Inc   142 
 10,868   e  Lithia Motors, Inc (Class A)   2,477 
 174,884   *  LKQ Corp   4,850 
 437,451      Lowe’s Companies, Inc   72,556 
 19,294   *  Lumber Liquidators, Inc   425 
 172,372   e  Macy’s, Inc   983 
 61,168   *  Magnite, Inc   425 
 18,578   *  MarineMax, Inc   477 
 11,632   *,e  Michaels Cos, Inc   112 
 13,761   e  Monro Muffler, Inc   558 
 16,896   *  Murphy USA, Inc   2,167 
 47,869   *  National Vision Holdings, Inc   1,830 
 70,237   e  Nordstrom, Inc   837 
 31,079   *  ODP Corp   604 
 28,621   *,e  Ollie’s Bargain Outlet Holdings, Inc   2,500 
 42,552   *  O’Reilly Automotive, Inc   19,620 
 24,586   *  Overstock.com, Inc   1,786 
 12,813      Penske Auto Group, Inc   611 
 14,105   e  PetMed Express, Inc   446 
 22,316      Pool Corp   7,466 
 53,361   *  Quotient Technology, Inc   394 
 201,751      Qurate Retail Group, Inc QVC Group   1,449 
 31,889   *  RealReal, Inc   461 
 30,873      Rent-A-Center, Inc   923 
 8,975   *  RH   3,434 
 200,574      Ross Stores, Inc   18,718 
 66,571   *,e  Sally Beauty Holdings, Inc   578 
 2,356   e  Shoe Carnival, Inc   79 
 13,499      Shutterstock, Inc   702 
 9,872   e  Signet Jewelers Ltd   185 
 15,272   *  Sleep Number Corp   747 
 20,728   e  Sonic Automotive, Inc (Class A)   832 
306

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

          VALUE 
SHARES      COMPANY  (000) 
 19,952   *  Sportsman’s Warehouse Holdings, Inc  $285 
 8,050   *  Stamps.com, Inc   1,940 
 27,087   *,e  Stitch Fix Inc   735 
 291,088      Target Corp   45,823 
 70,002      Tiffany & Co   8,110 
 6,790      Tilly’s, Inc   41 
 696,447      TJX Companies, Inc   38,757 
 65,015      Tractor Supply Co   9,319 
 32,239   *  Ulta Beauty, Inc   7,221 
 50,352   *  Urban Outfitters, Inc   1,048 
 14,221   *  Vroom, Inc   736 
 38,206   *,e  Wayfair, Inc   11,118 
 5,214      Weyco Group, Inc   84 
 47,928      Williams-Sonoma, Inc   4,335 
 1,945      Winmark Corp   335 
 11,661   *  Zumiez, Inc   324 
        TOTAL RETAILING   1,462,195 
              
SEMICONDUCTORS & SEMICONDUCTOR EQUIPMENT - 4.7%     
 14,729   *  Acacia Communications, Inc   993 
 26,575   *  Advanced Energy Industries, Inc   1,673 
 674,860   *  Advanced Micro Devices, Inc   55,332 
 15,539   *  Alpha & Omega Semiconductor Ltd   199 
 23,188   *  Ambarella, Inc   1,210 
 73,241   *  Amkor Technology, Inc   820 
 212,013      Analog Devices, Inc   24,750 
 531,186      Applied Materials, Inc   31,579 
 20,849   *  Axcelis Technologies, Inc   459 
 26,991   *  AXT, Inc   165 
 226,895      Broadcom, Inc   82,662 
 39,365      Brooks Automation, Inc   1,821 
 15,710   *  Ceva, Inc   618 
 36,649   *  Cirrus Logic, Inc   2,472 
 26,675      Cohu, Inc   458 
 62,345   *  Cree, Inc   3,974 
 4,191   *  CyberOptics Corp   133 
 28,713   *  Diodes, Inc   1,621 
 14,071   *  DSP Group, Inc   185 
 63,240   *  Enphase Energy, Inc   5,223 
 76,850      Entegris, Inc   5,713 
 49,996   *  First Solar, Inc   3,310 
 51,293   *  Formfactor, Inc   1,279 
 8,421   *  Ichor Holdings Ltd   182 
 13,074   *,e  Impinj, Inc   344 
 29,376   *  Inphi Corp   3,297 
 2,463,924      Intel Corp   127,582 
 90,227      KLA Corp   17,481 
 83,558      Lam Research Corp   27,720 
 75,431   *  Lattice Semiconductor Corp   2,184 
 29,103   *  MACOM Technology Solutions Holdings, Inc   990 
 376,817      Marvell Technology Group Ltd   14,960 
 5,322   *,e  Maxeon Solar Technologies Ltd   90 
 153,732      Maxim Integrated Products, Inc   10,394 
 43,500   *  MaxLinear, Inc   1,011 
307

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

          VALUE 
SHARES      COMPANY  (000) 
 137,006      Microchip Technology, Inc  $14,079 
 638,599   *  Micron Technology, Inc   29,989 
 31,711      MKS Instruments, Inc   3,464 
 25,309      Monolithic Power Systems, Inc   7,077 
 18,536   *  Nanometrics, Inc   552 
 21,168   *  NeoPhotonics Corp Ltd   129 
 3,184      NVE Corp   156 
 343,915      NVIDIA Corp   186,134 
 248,719   *  ON Semiconductor Corp   5,395 
 20,605   *,e  PDF Solutions, Inc   386 
 46,544   *  Photronics, Inc   464 
 40,270      Power Integrations, Inc   2,231 
 64,112   *  Qorvo, Inc   8,271 
 652,378      QUALCOMM, Inc   76,772 
 79,664   *  Rambus, Inc   1,091 
 38,440   *  Semtech Corp   2,036 
 24,113   *  Silicon Laboratories, Inc   2,359 
 5,258   *  SiTime Corp   442 
 95,527      Skyworks Solutions, Inc   13,899 
 2,025   *  SMART Global Holdings, Inc   55 
 29,247   *  SolarEdge Technologies, Inc   6,971 
 42,585   *,e  SunPower Corp   533 
 17,210   *  Synaptics, Inc   1,384 
 95,739      Teradyne, Inc   7,607 
 533,480      Texas Instruments, Inc   76,176 
 23,500   *  Ultra Clean Holdings   504 
 24,314      Universal Display Corp   4,394 
 34,384   *  Veeco Instruments, Inc   401 
 142,635      Xilinx, Inc   14,868 
        TOTAL SEMICONDUCTORS & SEMICONDUCTOR EQUIPMENT   900,703 
              
SOFTWARE & SERVICES - 15.2%     
 36,774   *  2U, Inc   1,245 
 65,506   *  8x8, Inc   1,019 
 32,215   *  A10 Networks, Inc   205 
 369,803      Accenture plc   83,572 
 68,208   *  ACI Worldwide, Inc   1,782 
 280,140   *  Adobe, Inc   137,389 
 92,148   *  Akamai Technologies, Inc   10,186 
 26,945   *  Alarm.com Holdings, Inc   1,489 
 24,151      Alliance Data Systems Corp   1,014 
 16,908   *,e  Altair Engineering, Inc   710 
 29,506   *,e  Alteryx, Inc   3,350 
 77,492      Amdocs Ltd   4,449 
 15,720   *  American Software, Inc (Class A)   221 
 78,020   *  Anaplan, Inc   4,882 
 50,132   *  Ansys, Inc   16,405 
 9,509   *  Appfolio, Inc   1,348 
 20,140   *,e  Appian Corp   1,304 
 40,474   *  Aspen Technology, Inc   5,124 
 74,256   *  Atlassian Corp plc   13,499 
 127,090   *  Autodesk, Inc   29,359 
 249,727      Automatic Data Processing, Inc   34,834 
 46,044   *  Avalara, Inc   5,863 
308

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

          VALUE 
SHARES      COMPANY  (000) 
 25,111   *  Avaya Holdings Corp  $382 
 11,374   *  Benefitfocus, Inc   127 
 5,132   *  BigCommerce Holdings, Inc   427 
 31,603   *  Bill.Com Holdings, Inc   3,170 
 82,754   *  Black Knight, Inc   7,204 
 34,044      Blackbaud, Inc   1,901 
 29,853   *  Blackline, Inc   2,676 
 80,726      Booz Allen Hamilton Holding Co   6,699 
 29,562   *  Bottomline Technologies, Inc   1,246 
 86,219   *  Box, Inc   1,497 
 20,694   *  Brightcove, Inc   212 
 63,918      Broadridge Financial Solutions, Inc   8,437 
 12,641   *  CACI International, Inc (Class A)   2,695 
 159,583   *  Cadence Design Systems, Inc   17,016 
 20,152   *  Cardtronics plc   399 
 10,596      Cass Information Systems, Inc   426 
 76,663      CDK Global, Inc   3,342 
 22,039   *  Cerence Inc   1,077 
 63,532   *  Ceridian HCM Holding, Inc   5,251 
 15,814   *  ChannelAdvisor Corp   229 
 71,481      Citrix Systems, Inc   9,844 
 114,390   *  Cloudera, Inc   1,246 
 65,273   *  Cloudflare, Inc   2,680 
 314,490      Cognizant Technology Solutions Corp (Class A)   21,832 
 28,135   *  Commvault Systems, Inc   1,148 
 137,713   *  Conduent, Inc   438 
 48,580      CoreLogic Inc   3,287 
 37,259   *  Cornerstone OnDemand, Inc   1,355 
 39,352   *  Coupa Software, Inc   10,792 
 87,974   *  Crowdstrike Holdings, Inc   12,081 
 24,883      CSG Systems International, Inc   1,019 
 83,532   *  Datadog, Inc   8,534 
 7,264   *,e  Digimarc Corp   162 
 49,997   *  Digital Turbine, Inc   1,637 
 103,217   *  DocuSign, Inc   22,216 
 11,005   *  Domo, Inc   422 
 137,416   *  Dropbox, Inc   2,647 
 8,296   *  Duck Creek Technologies, Inc   377 
 146,671      DXC Technology Co   2,618 
 106,055   *  Dynatrace, Inc   4,350 
 17,480   e  Ebix, Inc   360 
 33,437   *  Elastic NV   3,607 
 43,380   *,e  Endurance International Group Holdings, Inc   249 
 30,234   *  Envestnet, Inc   2,333 
 29,695   *  EPAM Systems, Inc   9,600 
 30,598   *  Euronet Worldwide, Inc   2,787 
 21,053   *  Everbridge, Inc   2,647 
 44,094      EVERTEC, Inc   1,530 
 10,859   *  Evo Payments, Inc   270 
 21,916   *  ExlService Holdings, Inc   1,446 
 15,593   *  Fair Isaac Corp   6,633 
 43,606   *  Fastly, Inc   4,085 
 359,221      Fidelity National Information Services, Inc   52,881 
 127,712   *  FireEye, Inc   1,577 
309

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

          VALUE 
SHARES      COMPANY  (000) 
 323,027   *  Fiserv, Inc  $33,288 
 37,675   *  Five9, Inc   4,886 
 47,157   *  FleetCor Technologies, Inc   11,228 
 75,872   *  Fortinet, Inc   8,938 
 50,118   *  Gartner, Inc   6,262 
 104,053      Genpact Ltd   4,053 
 171,961      Global Payments, Inc   30,537 
 21,651   *  Globant S.A.   3,880 
 93,198   *  GoDaddy, Inc   7,080 
 37,008   *  GreenSky, Inc   164 
 18,964   *,e  GTT Communications, Inc   98 
 48,005   *  Guidewire Software, Inc   5,005 
 17,956      Hackett Group, Inc   201 
 24,272   *  HubSpot, Inc   7,093 
 9,245   *  I3 Verticals, Inc   233 
 24,668   *  Information Services Group, Inc   52 
 4,355   *,e  Intelligent Systems Corp   170 
 514,059      International Business Machines Corp   62,546 
 13,645   *  International Money Express Inc   196 
 145,503      Intuit, Inc   47,464 
 27,386   *  j2 Global, Inc   1,896 
 44,253      Jack Henry & Associates, Inc   7,195 
 11,579   *,e  Jamf Holding Corp   435 
 82,538      KBR, Inc   1,846 
 74,334      Leidos Holdings, Inc   6,627 
 50,961   *  Limelight Networks, Inc   294 
 40,701   *  Liveperson, Inc   2,116 
 44,500   *  LiveRamp Holdings, Inc   2,304 
 40,270   *  Manhattan Associates, Inc   3,845 
 18,418      Mantech International Corp (Class A)   1,269 
 512,510      Mastercard, Inc (Class A)   173,315 
 36,930      MAXIMUS, Inc   2,526 
 41,794   *  Medallia, Inc   1,146 
 4,350,324      Microsoft Corp   915,004 
 6,844   *  MicroStrategy, Inc (Class A)   1,030 
 33,586   *  Mimecast Ltd   1,576 
 22,456   *  Mitek Systems, Inc   286 
 40,466   *  MobileIron, Inc   284 
 14,483   *  Model N, Inc   511 
 29,161   *  MongoDB, Inc   6,751 
 4,458   *,e  nCino, Inc   355 
 30,028   *  New Relic, Inc   1,692 
 46,584      NIC, Inc   918 
 328,732      NortonLifelock, Inc   6,851 
 176,319   *  Nuance Communications, Inc   5,852 
 92,944   *  Nutanix, Inc   2,061 
 68,862   *  Okta, Inc   14,726 
 21,489   *  OneSpan, Inc   450 
 1,115,696      Oracle Corp   66,607 
 41,005   *,e  Pagerduty, Inc   1,112 
 55,310   *  Palo Alto Networks, Inc   13,537 
 182,234      Paychex, Inc   14,537 
 27,676   *  Paycom Software, Inc   8,616 
 18,614   *  Paylocity Holding Corp   3,005 
310

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

          VALUE 
SHARES      COMPANY  (000) 
 683,956   *  PayPal Holdings, Inc  $134,760 
 19,229   *,e  Paysign Inc   109 
 20,541      Pegasystems, Inc   2,486 
 25,493   *  Perficient, Inc   1,090 
 71,338      Perspecta, Inc   1,387 
 8,669   *  Ping Identity Holding Corp   271 
 40,409   *  Pluralsight, Inc   692 
 31,483      Progress Software Corp   1,155 
 34,295   *  Proofpoint, Inc   3,620 
 19,034   *  PROS Holdings, Inc   608 
 62,466   *  PTC, Inc   5,167 
 29,530   *  Q2 Holdings, Inc   2,695 
 7,729      QAD, Inc (Class A)   326 
 22,512   *  Qualys, Inc   2,206 
 31,056   *  Rapid7, Inc   1,902 
 52,587   *  RealPage, Inc   3,031 
 21,786   *  Repay Holdings Corp   512 
 44,988   *  RingCentral, Inc   12,354 
 13,437   *  Rosetta Stone, Inc   403 
 186,641      Sabre Corp   1,215 
 52,403   *  SailPoint Technologies Holding, Inc   2,074 
 504,376   *  salesforce.com, Inc   126,760 
 15,268      Sapiens International Corp NV   467 
 32,160      Science Applications International Corp   2,522 
 4,599   *  SecureWorks Corp   52 
 111,321   *  ServiceNow, Inc   53,991 
 4,906   *,e  ShotSpotter, Inc   152 
 224,484   *  Slack Technologies, Inc   6,030 
 66,115   *  Smartsheet, Inc   3,267 
 16,667   *  SolarWinds Corp   339 
 92,257   *  Splunk, Inc   17,356 
 15,701   *  Sprout Social, Inc   604 
 24,492   *  SPS Commerce, Inc   1,907 
 214,516   *  Square, Inc   34,870 
 130,813      SS&C Technologies Holdings, Inc   7,917 
 92,903   *  StoneCo Ltd   4,914 
 70,963   *  SVMK, Inc   1,569 
 52,841      Switch, Inc   825 
 29,262   *  Sykes Enterprises, Inc   1,001 
 85,444   *  Synopsys, Inc   18,283 
 20,400   *  TeleNav, Inc   73 
 36,255   *  Tenable Holdings, Inc   1,369 
 76,002   *  Teradata Corp   1,725 
 23,414   *  Trade Desk, Inc   12,147 
 10,054      TTEC Holdings, Inc   548 
 6,516   *,e  Tucows, Inc   449 
 76,930   *  Twilio, Inc   19,009 
 22,772   *  Tyler Technologies, Inc   7,937 
 38,674   *  Unisys Corp   413 
 4,914   *  Upland Software, Inc   185 
 55,193   *  Upwork, Inc   963 
 18,823   *  Varonis Systems, Inc   2,173 
 45,384   *  Verint Systems, Inc   2,187 
 59,440   *  VeriSign, Inc   12,176 
311

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

          VALUE 
SHARES      COMPANY  (000) 
 13,662   *,e  Veritone, Inc  $125 
 63,620   *  Verra Mobility Corp   615 
 32,131   e  VirnetX Holding Corp   169 
 19,953   *  Virtusa Corp   981 
 980,879      Visa, Inc (Class A)   196,146 
 43,180      VMware, Inc (Class A)   6,204 
 229,572      Western Union Co   4,920 
 27,596   *  WEX, Inc   3,835 
 98,598   *  Workday, Inc   21,211 
 16,351   *  Workiva, Inc   912 
 41,557      Xperi Holding Corp   477 
 55,032   *  Yext, Inc   835 
 69,807   *  Zendesk, Inc   7,185 
 42,422   *  Zix Corp   248 
 98,048   *  Zoom Video Communications, Inc   46,093 
 40,123   *  Zscaler, Inc   5,645 
 55,037   *  Zuora Inc   569 
        TOTAL SOFTWARE & SERVICES   2,944,714 
              
TECHNOLOGY HARDWARE & EQUIPMENT - 7.3%     
 74,639   *,e  3D Systems Corp   366 
 35,649      Adtran, Inc   366 
 11,056   *  Agilysys, Inc   267 
 18,515   *,e  Akoustis Technologies, Inc   151 
 167,161      Amphenol Corp (Class A)   18,099 
 9,375,340      Apple, Inc   1,085,758 
 13,189   *,e  Applied Optoelectronics, Inc   148 
 33,832   *  Arista Networks, Inc   7,001 
 47,303   *  Arlo Technologies, Inc   249 
 40,463   *  Arrow Electronics, Inc   3,183 
 24,161   *  Avid Technology, Inc   207 
 63,498      Avnet, Inc   1,641 
 19,362      Badger Meter, Inc   1,266 
 7,316      Bel Fuse, Inc (Class B)   78 
 30,293      Belden CDT, Inc   943 
 35,867      Benchmark Electronics, Inc   723 
 26,799   *  CalAmp Corp   193 
 28,887   *  Calix, Inc   514 
 9,824   *  Casa Systems, Inc   40 
 79,859      CDW Corp   9,546 
 88,003   *  Ciena Corp   3,493 
 2,471,641      Cisco Systems, Inc   97,358 
 8,964   *  Clearfield, Inc   181 
 98,192      Cognex Corp   6,392 
 14,446   *  Coherent, Inc   1,602 
 115,638   *  CommScope Holding Co, Inc   1,041 
 16,237      Comtech Telecommunications Corp   227 
 429,454      Corning, Inc   13,919 
 23,637      CTS Corp   521 
 27,847      Daktronics, Inc   110 
 145,832   *  Dell Technologies, Inc   9,871 
 53,560   *,e  Diebold, Inc   409 
 18,652   *  Digi International, Inc   292 
 30,575      Dolby Laboratories, Inc (Class A)   2,027 
312

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

          VALUE 
SHARES      COMPANY  (000) 
 33,587   *  EchoStar Corp (Class A)  $836 
 9,278   *  ePlus, Inc   679 
 79,396   *  Extreme Networks, Inc   319 
 34,732   *  F5 Networks, Inc   4,264 
 26,560   *  Fabrinet   1,674 
 12,851   *  FARO Technologies, Inc   784 
 124,310   *  Fitbit, Inc   865 
 84,050      FLIR Systems, Inc   3,013 
 58,321   *,e  Harmonic, Inc   325 
 707,951      Hewlett Packard Enterprise Co   6,633 
 825,209      HP, Inc   15,671 
 53,614   *  II-VI, Inc   2,175 
 21,661   *  Immersion Corp   153 
 103,799   *,e  Infinera Corp   639 
 40,550   *,e  Inseego Corp   418 
 16,992   *  Insight Enterprises, Inc   961 
 18,324      InterDigital, Inc   1,046 
 21,818   *  IPG Photonics Corp   3,708 
 18,293   *  Iteris, Inc   75 
 24,355   *  Itron, Inc   1,479 
 88,419      Jabil Inc   3,029 
 201,956      Juniper Networks, Inc   4,342 
 109,424   *  Keysight Technologies, Inc   10,809 
 21,162   *  Kimball Electronics, Inc   245 
 64,648   *  Knowles Corp   963 
 10,929   *  KVH Industries, Inc   98 
 14,095      Littelfuse, Inc   2,500 
 44,541   *  Lumentum Holdings, Inc   3,346 
 25,950      Methode Electronics, Inc   740 
 97,449      Motorola Solutions, Inc   15,281 
 12,096      MTS Systems Corp   231 
 7,937   *  Napco Security Technologies, Inc   187 
 76,957      National Instruments Corp   2,747 
 68,992   *  NCR Corp   1,527 
 136,516      NetApp, Inc   5,985 
 23,887   *  Netgear, Inc   736 
 43,446   *  Netscout Systems, Inc   948 
 20,535   *  nLight, Inc   482 
 18,332   *  Novanta, Inc   1,931 
 12,827   *,e  OSI Systems, Inc   995 
 7,480   *,e  PAR Technology Corp   303 
 8,216      PC Connection, Inc   337 
 24,496   e  Plantronics, Inc   290 
 17,083   *  Plexus Corp   1,207 
 148,433   *  Pure Storage, Inc   2,284 
 37,508   *  Ribbon Communications, Inc   145 
 12,852   *  Rogers Corp   1,260 
 52,368   *  Sanmina Corp   1,417 
 17,777   *  Scansource, Inc   353 
 26,460   *  Super Micro Computer, Inc   699 
 23,676      Synnex Corp   3,316 
 147,747   *  Trimble Inc   7,195 
 66,124   *,e  TTM Technologies, Inc   754 
 2,056      Ubiquiti, Inc   343 
313

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

          VALUE 
SHARES      COMPANY  (000) 
 38,380   *  Viasat, Inc  $1,320 
 136,006   *  Viavi Solutions, Inc   1,595 
 97,366      Vishay Intertechnology, Inc   1,516 
 9,508   *  Vishay Precision Group, Inc   241 
 173,784      Western Digital Corp   6,352 
 105,309      Xerox Holdings Corp   1,977 
 29,192   *  Zebra Technologies Corp (Class A)   7,370 
        TOTAL TECHNOLOGY HARDWARE & EQUIPMENT   1,411,295 
              
TELECOMMUNICATION SERVICES - 1.7%     
 7,472   *  Anterix, Inc   244 
 4,138,948      AT&T, Inc   118,001 
 7,918      ATN International, Inc   397 
 10,381   *  Bandwidth Inc   1,812 
 27,406   *  Boingo Wireless, Inc   279 
 627,826      CenturyLink, Inc   6,335 
 33,512   *  Cincinnati Bell, Inc   503 
 25,280      Cogent Communications Group, Inc   1,518 
 48,355   *  Consolidated Communications Holdings, Inc   275 
 52,848   *  GCI Liberty, Inc   4,332 
 42,541   *,e  Gogo, Inc   393 
 44,962   *  IAC   5,386 
 60,764   *  Iridium Communications, Inc   1,554 
 29,453   *  Liberty Latin America Ltd (Class A)   243 
 103,346   *  Liberty Latin America Ltd (Class C)   841 
 13,047   *  Ooma, Inc   170 
 44,329   *  ORBCOMM, Inc   151 
 33,638      Shenandoah Telecom Co   1,495 
 14,641      Spok Holdings, Inc   139 
 70,982      Telephone & Data Systems, Inc   1,309 
 318,946   *  T-Mobile US, Inc   36,475 
 9,529   *  US Cellular Corp   281 
 2,413,450      Verizon Communications, Inc   143,576 
 143,849   *  Vonage Holdings Corp   1,472 
        TOTAL TELECOMMUNICATION SERVICES   327,181 
              
TRANSPORTATION - 2.0%     
 37,928   *  Air Transport Services Group, Inc   951 
 69,726      Alaska Air Group, Inc   2,554 
 8,722      Allegiant Travel Co   1,045 
 5,336      Amerco, Inc   1,900 
 293,091   e  American Airlines Group, Inc   3,602 
 19,331      ArcBest Corp   600 
 16,948   *  Atlas Air Worldwide Holdings, Inc   1,032 
 19,991   *  Avis Budget Group, Inc   526 
 74,862      CH Robinson Worldwide, Inc   7,650 
 14,813      Copa Holdings S.A. (Class A)   746 
 23,634      Costamare, Inc   143 
 8,672   *  Covenant Transportation Group, Inc   152 
 441,262      CSX Corp   34,273 
 14,173   *,e  Daseke, Inc   76 
 381,748      Delta Air Lines, Inc   11,674 
 4,116   *,e  Eagle Bulk Shipping, Inc   67 
 21,041   *  Echo Global Logistics, Inc   542 
314

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

          VALUE 
SHARES      COMPANY  (000) 
 91,689      Expeditors International of Washington, Inc  $8,300 
 140,787      FedEx Corp   35,411 
 20,963      Forward Air Corp   1,203 
 6,118      Genco Shipping & Trading Ltd   42 
 36,387   e  Hawaiian Holdings, Inc   469 
 6,848      Heartland Express, Inc   127 
 21,791   *  Hub Group, Inc (Class A)   1,094 
 50,840      JB Hunt Transport Services, Inc   6,425 
 146,479   *  JetBlue Airways Corp   1,660 
 56,767      Kansas City Southern   10,265 
 37,438   *  Kirby Corp   1,354 
 71,730      Knight-Swift Transportation Holdings, Inc   2,919 
 20,412      Landstar System, Inc   2,562 
 142,708   *,e  Lyft, Inc (Class A)   3,932 
 43,936      Macquarie Infrastructure Co LLC   1,181 
 34,852      Marten Transport Ltd   569 
 32,238      Matson, Inc   1,292 
 147,900      Norfolk Southern Corp   31,649 
 57,372      Old Dominion Freight Line   10,380 
 6,136      Park-Ohio Holdings Corp   99 
 29,335   *  Radiant Logistics, Inc   151 
 30,762      Ryder System, Inc   1,299 
 33,371   *  Safe Bulkers, Inc   34 
 13,620   *  Saia, Inc   1,718 
 22,723      Schneider National, Inc   562 
 4,092      Scorpio Bulkers, Inc   58 
 28,022      Skywest, Inc   837 
 338,643      Southwest Airlines Co   12,699 
 50,261   *,e  Spirit Airlines, Inc   809 
 798,391   *  Uber Technologies, Inc   29,125 
 397,047      Union Pacific Corp   78,167 
 173,644   *  United Airlines Holdings Inc   6,034 
 411,490      United Parcel Service, Inc (Class B)   68,567 
 6,297      Universal Logistics Holdings Inc   131 
 14,010   *  US Xpress Enterprises, Inc   116 
 36,247      Werner Enterprises, Inc   1,522 
 52,058   *  XPO Logistics, Inc   4,407 
        TOTAL TRANSPORTATION   394,702 
              
UTILITIES - 2.8%     
 387,805      AES Corp   7,023 
 30,256      Allete, Inc   1,565 
 137,659      Alliant Energy Corp   7,110 
 143,050      Ameren Corp   11,312 
 288,252      American Electric Power Co, Inc   23,559 
 25,230      American States Water Co   1,891 
 104,951      American Water Works Co, Inc   15,205 
 4,909      Artesian Resources Corp   169 
 92,825   *,e  Atlantic Power Corp   182 
 69,836      Atmos Energy Corp   6,676 
 27,653      Avangrid, Inc   1,395 
 33,562      Avista Corp   1,145 
 36,321      Black Hills Corp   1,943 
 18,748   e  Brookfield Infrastructure Corp   1,038 
315

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

          VALUE 
SHARES      COMPANY  (000) 
 39,418      Brookfield Renewable Corp  $2,310 
 15,011   *,e  Cadiz, Inc   149 
 35,650      California Water Service Group   1,549 
 288,758      Centerpoint Energy, Inc   5,587 
 11,318      Chesapeake Utilities Corp   954 
 24,011      Clearway Energy, Inc (Class A)   593 
 47,061      Clearway Energy, Inc (Class C)   1,269 
 170,995      CMS Energy Corp   10,501 
 200,639      Consolidated Edison, Inc   15,610 
 10,961      Consolidated Water Co, Inc   114 
 485,215      Dominion Energy, Inc   38,298 
 109,752      DTE Energy Co   12,626 
 425,649      Duke Energy Corp   37,696 
 204,477      Edison International   10,396 
 116,501      Entergy Corp   11,479 
 134,955      Essential Utilities Inc   5,432 
 139,501      Evergy, Inc   7,089 
 203,372      Eversource Energy   16,992 
 561,990      Exelon Corp   20,097 
 320,514      FirstEnergy Corp   9,202 
 6,410      Global Water Resources, Inc   69 
 66,960      Hawaiian Electric Industries, Inc   2,226 
 24,079      Idacorp, Inc   1,924 
 119,020      MDU Resources Group, Inc   2,678 
 16,881      MGE Energy, Inc   1,058 
 11,759      Middlesex Water Co   731 
 44,613      National Fuel Gas Co   1,811 
 62,202      New Jersey Resources Corp   1,681 
 285,286      NextEra Energy, Inc   79,184 
 211,543      NiSource, Inc   4,654 
 14,483      Northwest Natural Holding Co   657 
 27,636      NorthWestern Corp   1,344 
 135,219      NRG Energy, Inc   4,157 
 114,606      OGE Energy Corp   3,437 
 29,641      ONE Gas, Inc   2,046 
 20,715      Ormat Technologies, Inc   1,224 
 27,545      Otter Tail Corp   996 
 751,123   *,b  PG&E Corp   7,053 
 62,725      Pinnacle West Capital Corp   4,676 
 40,790      PNM Resources, Inc   1,686 
 50,460      Portland General Electric Co   1,791 
 455,249      PPL Corp   12,387 
 287,400      Public Service Enterprise Group, Inc   15,781 
 11,616   *  Pure Cycle Corp   105 
 4,887      RGC Resources, Inc   115 
 171,031      Sempra Energy   20,243 
 12,005      SJW Corp   731 
 58,642      South Jersey Industries, Inc   1,130 
 616,755      Southern Co   33,440 
 26,282      Southwest Gas Holdings Inc   1,658 
 7,544   e  Spark Energy, Inc   63 
 26,256      Spire, Inc   1,397 
 17,984   *  Sunnova Energy International, Inc   547 
 132,205      UGI Corp   4,360 
316

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

          VALUE 
SHARES      COMPANY  (000) 
 10,272      Unitil Corp  $397 
 291,990      Vistra Energy Corp   5,507 
 183,758      WEC Energy Group, Inc   17,806 
 301,223      Xcel Energy, Inc   20,787 
 9,006      York Water Co   381 
        TOTAL UTILITIES   550,074 
              
        TOTAL COMMON STOCKS   19,302,621 
        (Cost $7,720,842)     
              
PREFERRED STOCKS - 0.0%     
              
RETAILING - 0.0%     
 1   *  Qurate Retail, Inc   0^
        TOTAL RETAILING   0^
              
        TOTAL PREFERRED STOCKS   0^
        (Cost $0)     
              
RIGHTS / WARRANTS - 0.0%     
              
HEALTH CARE EQUIPMENT & SERVICES - 0.0%     
 203      Pulse Biosciences, Inc   0 
        TOTAL HEALTH CARE EQUIPMENT & SERVICES   0 
              
MEDIA & ENTERTAINMENT - 0.0%     
 80,085     Media General, Inc   0 
        TOTAL MEDIA & ENTERTAINMENT   0 
              
PHARMACEUTICALS, BIOTECHNOLOGY & LIFE SCIENCES - 0.0%     
 29,050     Elanco Animal Health, Inc CVR   2 
 4,045     Omthera Pharmaceuticals, Inc   2 
 6,981     Tobira Therapeutics, Inc   0^
        TOTAL PHARMACEUTICALS, BIOTECHNOLOGY & LIFE SCIENCES   4 
              
        TOTAL RIGHTS / WARRANTS   4 
        (Cost $1)     

 

              MATURITY    
PRINCIPAL      ISSUER  RATE  DATE    
SHORT-TERM INVESTMENTS - 1.0%             
                      
REPURCHASE AGREEMENT - 0.2%             
$41,800,000   r  Fixed Income Clearing Corp (FICC)   0.070%  10/01/20   41,800 
        TOTAL REPURCHASE AGREEMENT           41,800 
                      
TREASURY DEBT - 0.2%             
 12,140,000      United States Treasury Bill   0.090-0.130   10/08/20   12,140 
 16,345,000      United States Treasury Bill   0.102   10/20/20   16,344 
        TOTAL TREASURY DEBT               28,484 
317

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

          VALUE 
SHARES      COMPANY  (000) 
INVESTMENTS IN REGISTERED INVESTMENT COMPANIES - 0.6%        
 122,036,511   c  State Street Navigator Securities Lending Government Money Market Portfolio  $122,037 
        TOTAL INVESTMENTS IN REGISTERED INVESTMENT COMPANIES   122,037 
              
        TOTAL SHORT-TERM INVESTMENTS   192,321 
        (Cost $192,320)     
        TOTAL INVESTMENTS - 100.6%   19,494,946 
        (Cost $7,913,163)     
        OTHER ASSETS & LIABILITIES, NET - (0.6)%   (115,459)
        NET ASSETS - 100.0%  $19,379,487 
       
       
    Abbreviation(s):
REIT   Real Estate Investment Trust
CVR   Contingent Value Right
     
*   Non-income producing
^   Amount represents less than $1,000.
  Security is categorized as Level 3 in the fair value hierarchy.
b   In bankruptcy
c   Investments made with cash collateral received from securities on loan.
d   All or a portion of theses securities have been segregated to cover margin requirements on open futures contracts.
e   All or a portion of these securities are out on loan. The aggregate value of securities on loan is $150,645,734.
g   Security is exempt from registration under Rule 144(A) of the Securities Act of 1933, as amended. Such securities are deemed liquid and may be resold in transactions exempt from registration to qualified institutional buyers. At 9/30/20, the aggregate value of these securities is $1,185,487 or 0.0% of net assets.
r   Agreement with Fixed Income Clearing Corporation, 0.070% dated 9/30/20 to be repurchased at $41,800,000 on 10/1/20, collateralized by U.S. Treasury Bond valued at $42,636,044.
       
    Cost amounts are in thousands.
       

 

Futures contracts outstanding as of September 30, 2020 were as follows (notional amounts and values are in thousands):

 

Description  Number of long
(short)
contracts
   Expiration date  Notional amount   Value   Unrealized
appreciation (depreciation)
 
Russell 2000 E Mini Index   69   12/18/20  $5,235   $5,190   $(44)
S&P 500 E Mini Index   296   12/18/20   50,020    49,610    (411)
S&P Mid-Cap 400 E Mini Index   36   12/18/20   6,729    6,681    (48)
Total   401      $61,984   $61,481   $(503)
318

COLLEGE RETIREMENT EQUITIES FUND - Bond Market Account

 

COLLEGE RETIREMENT EQUITIES FUND

BOND MARKET ACCOUNT

SCHEDULE OF INVESTMENTS (unaudited)

September 30, 2020

 

          REFERENCE      MATURITY  VALUE 
PRINCIPAL      ISSUER  RATE & SPREAD  RATE  DATE  (000) 
BANK LOAN OBLIGATIONS - 0.8%                
                         
AUTOMOBILES & COMPONENTS - 0.0%                
$989,975   i  Adient US LLC  LIBOR 1 and 3 M + 4.250%   4.397%  05/06/24  $977 
 992,481   i  Clarios Global LP  LIBOR 1 M + 3.500%   3.647   04/30/26   966 
 2,477,021   i  Gates Global LLC  LIBOR 1 M + 2.750%   3.750   04/01/24   2,437 
        TOTAL AUTOMOBILES & COMPONENTS           4,380 
                         
CAPITAL GOODS - 0.1%                
 174,057   i  Avolon TLB Borrower US LLC  LIBOR 1 M + 1.750%   2.500   01/15/25   169 
 223,875   i  Avolon TLB Borrower US LLC  LIBOR 1 M + 1.500%   2.250   02/12/27   215 
 1,484,772   i  Beacon Roofing Supply, Inc  LIBOR 1 M + 2.250%   2.397   01/02/25   1,436 
 1,000,000   h,i  Cornerstone Building Brands, Inc  LIBOR 1 M + 3.750%   3.895   04/12/25   980 
 997,500   i  Gardner Denver, Inc  LIBOR 1 M + 2.750%   2.897   03/01/27   982 
 738,713   i  Prometric Holdings Inc  LIBOR 1 M + 3.000%   4.000   01/29/25   685 
 1,368,553   i  TransDigm, Inc  LIBOR 1 M + 2.250%   2.397   08/22/24   1,293 
 1,484,971   i  TransDigm, Inc  LIBOR 1 M + 2.250%   2.397   05/30/25   1,401 
        TOTAL CAPITAL GOODS              7,161 
                         
COMMERCIAL & PROFESSIONAL SERVICES - 0.1%             
 2,530,928   h,i  GFL Environmental, Inc  LIBOR 3 M + 3.000%   4.000   05/30/25   2,517 
 596,939   i  Packers Holdings LLC  LIBOR 1 M + 3.000%   4.000   12/04/24   585 
 2,000,000   h,i  Prime Security Services Borrower LLC  LIBOR 1 and 3 M + 3.250%   4.250   09/23/26   1,980 
 992,308   i  Spin Holdco, Inc  LIBOR 3 M + 3.250%   4.250   11/14/22   970 
 1,912,012   i  Syneos Health Inc  LIBOR 1 M + 1.750%   1.897   08/01/24   1,867 
 1,927,308   i  Trans Union LLC  LIBOR 1 M + 1.750%   1.897   11/16/26   1,876 
 1,029,000   i  United Rentals North America, Inc  LIBOR 1 M + 1.750%   1.897   10/31/25   1,024 
        TOTAL COMMERCIAL & PROFESSIONAL SERVICES       10,819 
                         
CONSUMER DURABLES & APPAREL - 0.0%                
 540,000   i  Hanesbrands, Inc  LIBOR 1 M + 1.750%   1.897   12/16/24   533 
 395,570   i  Samsonite IP Holdings Sarl  LIBOR 1 M + 1.750%   1.897   04/25/25   370 
        TOTAL CONSUMER DURABLES & APPAREL          903 
                         
CONSUMER SERVICES - 0.1%                
 443,655   i  1011778 BC ULC  LIBOR 1 M + 1.750%   1.897   11/19/26   425 
 322,596   i  Boyd Gaming Corp  LIBOR 1 W + 2.250%   2.356   09/15/23   313 
 1,979,695   i  Scientific Games International, Inc  LIBOR 1 and 3 M + 2.750%   2.897   08/14/24   1,858 
 1,575,000   h,i  Sophia LP  LIBOR 3 M + 3.750%   5.000   09/22/27   1,563 
 1,686,155   i  YUM! Brands  LIBOR 1 M + 1.750%   1.900   04/03/25   1,644 
        TOTAL CONSUMER SERVICES              5,803 
                         
DIVERSIFIED FINANCIALS - 0.0%                
 877,493   i  Lions Gate Capital Holdings LLC  LIBOR 1 M + 2.250%   2.397   03/24/25   845 
 1,775,000   h,i  Reynolds Group Holdings, Inc  LIBOR 1 M + 3.250%   2.897   02/06/23   1,741 
        TOTAL DIVERSIFIED FINANCIALS           2,586 
                         
ENERGY - 0.0%                
 1,990,000   i  Buckeye Partners LP  LIBOR 1 M + 2.750%   2.897   11/02/26   1,950 
319

COLLEGE RETIREMENT EQUITIES FUND - Bond Market Account

 

          REFERENCE      MATURITY  VALUE 
PRINCIPAL      ISSUER  RATE & SPREAD  RATE  DATE  (000) 
$567,813   i  ChampionX Holding, Inc  LIBOR 3 M + 5.000%   6.000%  06/03/27  $564 
 1,979,784   i  Delek US Holdings, Inc  LIBOR 1 M + 2.250%   2.397   03/31/25   1,867 
        TOTAL ENERGY              4,381 
                         
FOOD, BEVERAGE & TOBACCO - 0.0%                
 893,233   i  Hostess Brands LLC  LIBOR 1 and 3 M + 2.250%   3.000   08/01/25   877 
 1,000,000   h,i  Shearer’s Foods LLC  LIBOR 3 M + 4.000%   4.750   09/15/27   992 
        TOTAL FOOD, BEVERAGE & TOBACCO           1,869 
                         
HEALTH CARE EQUIPMENT & SERVICES - 0.1%                
 1,444,145   i  Change Healthcare Holdings LLC  LIBOR 1 and 3 M + 2.500%   3.500   03/01/24   1,412 
 1,995,000   i  Da Vinci Purchaser Corp  LIBOR 3 M + 4.000%   5.238   01/08/27   1,968 
 990,019   i  DaVita, Inc  LIBOR 1 M + 1.750%   1.897   08/12/26   971 
 2,601,707   i  Endo Luxembourg Finance I Co Sarl  LIBOR 3 M + 4.250%   5.000   04/29/24   2,472 
 1,028,819   i  Envision Healthcare Corp  LIBOR 1 M + 3.750%   3.906   10/10/25   740 
 2,456,438   i  Grifols Worldwide Operations USA, Inc  LIBOR 1 W + 2.000%   2.100   11/15/27   2,403 
 161,413   i  Mallinckrodt International Finance S.A.  LIBOR 3 M + 2.750%   3.500   09/24/24   135 
 2,325,930   i  RegionalCare Hospital Partners Holdings, Inc  LIBOR 1 M + 3.750%   3.897   11/16/25   2,256 
 2,920,100   i  Select Medical Corp  LIBOR 3 M + 2.500%   2.780   03/06/25   2,836 
 1,420,551   i  Team Health Holdings, Inc  LIBOR 1 M + 2.750%   3.750   02/06/24   1,188 
        TOTAL HEALTH CARE EQUIPMENT & SERVICES           16,381 
                         
INSURANCE - 0.0%                
 775,000   h,i  Alera Group Intermediate Holdings, Inc  LIBOR 3 M + 4.000%   5.000   09/25/25   761 
 1,990,000   i  NFP Corp  LIBOR 1 M + 3.250%   3.397   02/15/27   1,909 
 2,480,818   i  USI, Inc  LIBOR 3 M + 3.000%   3.220   05/16/24   2,396 
        TOTAL INSURANCE              5,066 
                         
MATERIALS - 0.1%                
 1,750,000   i  Asplundh Tree Expert LLC  LIBOR 1 M + 2.500%   2.655   09/07/27   1,747 
 985,721   i  Atotech Alpha 3 BV  LIBOR 3 M + 3.000%   4.000   01/31/24   969 
 1,000,000   i  Berry Global, Inc  LIBOR 1 M + 2.000%   2.156   10/01/22   990 
 1,442,001   i  Berry Global, Inc  LIBOR 1 M + 2.000%   2.156   01/19/24   1,418 
 1,718,943   i  Chemours Co  LIBOR 1 M + 1.750%   1.900   04/03/25   1,654 
 2,000,000   h,i  Illuminate Buyer LLC  LIBOR 1 M + 4.000%   4.308   06/30/27   1,981 
 487,500   i  Ineos US Finance LLC  LIBOR 1 M + 2.000%   2.147   03/31/24   473 
 1,901,521   i  Messer Industries USA, Inc  LIBOR 3 M + 2.500%   2.720   03/01/26   1,859 
 1,379,670   i  PolyOne Corp  LIBOR 1 M + 1.750%   1.895   01/30/26   1,351 
 334,109   i  Reynolds Consumer Products LLC  LIBOR 1 M + 1.750%   1.906   02/04/27   330 
 431,844   i  Starfruit US Holdco LLC  LIBOR 1 M + 3.000%   3.151   10/01/25   417 
 992,481   i  Tamko Building Products, Inc  LIBOR 1 M + 3.250%   3.397   05/29/26   975 
        TOTAL MATERIALS              14,164 
                         
MEDIA & ENTERTAINMENT - 0.1%                
 425,000   h,i  Cablevision Lightpath LLC  LIBOR 3 M + 3.250%   4.250   12/31/27   422 
 1,980,000   i  Charter Communications Operating LLC  LIBOR 1 M + 1.750%   1.900   02/01/27   1,932 
 719,572   i  CSC Holdings LLC  LIBOR 1 M + 2.500%   2.652   04/15/27   696 
 990,000   i  Diamond Sports Group LLC  LIBOR 1 M + 3.250%   3.400   08/24/26   764 
 531,738   i  Nielsen Finance LLC  LIBOR 1 M + 2.000%   2.154   10/04/23   521 
 2,369,063   i  Nielsen Finance LLC  LIBOR 1 M + 3.750%   4.750   06/06/25   2,364 
 496,250   i  Pregis TopCo Corp  LIBOR 1 M + 3.750%   3.897   07/31/26   489 
 1,550,000   h,i  Radiate Holdco LLC  LIBOR 1 M + 3.500%   4.250   09/11/26   1,521 
 800,000   i  SkyMiles IP Ltd  LIBOR 3 M + 3.750%   4.750   10/20/27   805 
320

COLLEGE RETIREMENT EQUITIES FUND - Bond Market Account

 

          REFERENCE      MATURITY  VALUE 
PRINCIPAL      ISSUER  RATE & SPREAD  RATE  DATE  (000) 
$992,500   i  Terrier Media Buyer, Inc  LIBOR 1 M + 4.250%   4.397%  12/17/26  $967 
 1,712,500   i  Vertical US Newco, Inc  LIBOR 6 M + 4.250%   4.570   07/31/27   1,696 
 2,250,000   i  Virgin Media Bristol LLC  LIBOR 1 M + 2.500%   2.652   01/31/28   2,181 
        TOTAL MEDIA & ENTERTAINMENT              14,358 
                         
PHARMACEUTICALS, BIOTECHNOLOGY & LIFE SCIENCES - 0.1%             
 1,841,898   i  Bausch Health Americas, Inc  LIBOR 1 M + 3.000%   3.151   06/02/25   1,803 
 1,828,571   i  Bausch Health Americas, Inc  LIBOR 1 M + 2.750%   2.901   11/27/25   1,783 
 2,487,374   i  Catalent Pharma Solutions, Inc  LIBOR 1 M + 2.250%   3.250   05/18/26   2,472 
 494,778   i  Jaguar Holding Co II  LIBOR 1 M + 2.500%   3.500   08/18/22   492 
        TOTAL PHARMACEUTICALS, BIOTECHNOLOGY & LIFE SCIENCES   6,550 
                         
REAL ESTATE - 0.0%                
 1,375,588   i  Cushman & Wakefield plc  LIBOR 1 M + 2.750%   2.897   08/21/25   1,324 
        TOTAL REAL ESTATE              1,324 
                         
RETAILING - 0.0%                
 322,563   i  Camelot Finance S.A.  LIBOR 1 M + 3.250%   3.147   10/28/26   316 
        TOTAL RETAILING              316 
                         
SOFTWARE & SERVICES - 0.1%                
 1,000,000   h,i  Camelot US Acquisition  LIBOR 3 M + 3.000%   4.250   10/31/26   995 
 675,000   h,i  Hyland Software, Inc  LIBOR 1 M + 3.500%   4.500   07/01/24   671 
 1,979,695   i  Open Text Corp  LIBOR 1 M + 1.750%   1.911   05/30/25   1,963 
 1,500,000   h,i  Rackspace Technology Global, Inc  LIBOR 3 M + 3.000%   4.000   11/03/23   1,470 
 992,443   i  Rocket Software, Inc  LIBOR 1 M + 4.250%   4.397   11/28/25   971 
 96,280   i  Sabre GLBL, Inc  LIBOR 1 M + 2.000%   2.147   02/22/24   90 
 1,625,000   i  Ultimate Software Group, Inc  LIBOR 3 M + 4.000%   4.750   05/04/26   1,619 
 1,750,000   i  Web.com Group Inc  LIBOR 1 M + 3.750%   3.901   10/10/25   1,687 
        TOTAL SOFTWARE & SERVICES              9,466 
                         
TECHNOLOGY HARDWARE & EQUIPMENT - 0.0%                
 2,417,821   i  Dell International LLC  LIBOR 1 M + 2.000%   2.750   09/19/25   2,405 
 1,259,245   i  Plantronics, Inc  LIBOR 1 and 3 M + 2.500%   2.656   07/02/25   1,180 
 755,472   i  TTM Technologies, Inc  LIBOR 1 M + 2.500%   2.655   09/28/24   740 
        TOTAL TECHNOLOGY HARDWARE & EQUIPMENT       4,325 
                         
TELECOMMUNICATION SERVICES - 0.0%                
 696,500   i  Front Range BidCo, Inc  LIBOR 1 M + 3.000%   3.147   03/09/27   675 
 4,488,750   i  T-Mobile USA, Inc  LIBOR 1 M + 3.000%   3.147   04/01/27   4,482 
        TOTAL TELECOMMUNICATION SERVICES           5,157 
                         
TRANSPORTATION - 0.0%                
 1,642,871   i  American Airlines, Inc  LIBOR 1 M + 2.000%   2.152   12/14/23   1,337 
 473,813   i  Delta Air Lines, Inc  LIBOR 3 M + 4.750%   5.750   05/01/23   473 
        TOTAL TRANSPORTATION              1,810 
                         
UTILITIES - 0.0%                
 992,211   i  Gopher Resource LLC  LIBOR 1 M + 3.250%   4.250   03/06/25   960 
        TOTAL UTILITIES              960 
                         
        TOTAL BANK LOAN OBLIGATIONS           117,779 
        (Cost $120,820)                
321

COLLEGE RETIREMENT EQUITIES FUND - Bond Market Account

 

                 MATURITY  VALUE 
PRINCIPAL      ISSUER     RATE  DATE  (000) 
BONDS - 95.1%                
                         
CORPORATE BONDS - 40.5%                
                         
AUTOMOBILES & COMPONENTS - 0.4%                
EUR450,000   g  Adient Global Holdings Ltd      3.500%  08/15/24  $485 
$2,500,000   g  Adient Global Holdings Ltd      4.875   08/15/26   2,381 
 350,000   g  Adient US LLC      9.000   04/15/25   386 
EUR500,000      Aptiv plc      1.500   03/10/25   609 
$225,000      Dana, Inc      5.375   11/15/27   231 
 350,000      Dana, Inc      5.625   06/15/28   361 
 1,250,000      Ford Motor Co      8.500   04/21/23   1,362 
 1,275,000      Ford Motor Co      9.000   04/22/25   1,462 
 11,000,000      General Motors Co      6.125   10/01/25   12,776 
 5,600,000      General Motors Co      5.000   10/01/28   6,298 
 6,950,000      General Motors Co      6.600   04/01/36   8,448 
 6,500,000      General Motors Co      5.200   04/01/45   6,991 
 1,925,000      General Motors Co      6.750   04/01/46   2,370 
EUR400,000   g,o  IHO Verwaltungs GmbH      3.750   09/15/26   468 
$8,675,000      Magna International, Inc      3.625   06/15/24   9,553 
EUR300,000      Volkswagen Bank GmbH      2.500   07/31/26   383 
        TOTAL AUTOMOBILES & COMPONENTS           54,564 
                         
BANKS - 7.6%                
$8,250,000   g  Australia & New Zealand Banking Group Ltd      2.950   07/22/30   8,549 
 3,800,000   g  Banco del Estado de Chile      2.668   01/08/21   3,810 
 5,250,000   g  Banco del Estado de Chile      2.704   01/09/25   5,519 
 300,000   g  Banco General S.A.      4.125   08/07/27   331 
 3,800,000   g  Banco Internacional del Peru SAA Interbank      3.375   01/18/23   3,933 
 3,225,000   g  Banco Santander Mexico S.A. Institucion de Banca Multiple Grupo Financiero Santand   5.375   04/17/25   3,586 
 5,950,000      Banco Santander S.A.      2.746   05/28/25   6,252 
 3,800,000      Banco Santander S.A.      3.800   02/23/28   4,176 
 2,400,000      Bancolombia S.A.      3.000   01/29/25   2,404 
 2,650,000      Bancolombia S.A.      4.625   12/18/29   2,574 
 2,750,000   g  Banistmo S.A.      4.250   07/31/27   2,797 
 6,300,000   g  Bank Leumi Le-Israel BM      3.275   01/29/31   6,331 
 5,000,000      Bank of America Corp      3.550   03/05/24   5,326 
EUR400,000      Bank of America Corp      1.375   03/26/25   494 
$10,200,000      Bank of America Corp      3.875   08/01/25   11,580 
 7,100,000      Bank of America Corp      1.319   06/19/26   7,143 
 8,000,000      Bank of America Corp      4.250   10/22/26   9,258 
EUR300,000      Bank of America Corp      1.776   05/04/27   378 
$18,265,000      Bank of America Corp      3.248   10/21/27   20,172 
 9,650,000      Bank of America Corp      3.824   01/20/28   10,934 
 10,650,000      Bank of America Corp      3.419   12/20/28   11,863 
 11,475,000      Bank of America Corp      2.884   10/22/30   12,386 
 50,500,000      Bank of America Corp      2.496   02/13/31   52,641 
 17,450,000      Bank of America Corp      2.592   04/29/31   18,427 
 39,350,000      Bank of America Corp      1.898   07/23/31   39,177 
 18,000,000      Bank of America Corp      4.083   03/20/51   22,241 
 5,000,000      Bank of America Corp      6.250   N/A‡   5,356 
 3,000,000      Bank of America Corp      6.100   N/A‡   3,266 
EUR400,000      Barclays plc      0.625   11/14/23   471 
322

COLLEGE RETIREMENT EQUITIES FUND - Bond Market Account

 

                 MATURITY  VALUE 
PRINCIPAL      ISSUER     RATE  DATE  (000) 
$5,900,000      Barclays plc      4.338%  05/16/24  $6,334 
 10,000,000      Barclays plc      3.932   05/07/25   10,768 
 11,000,000   g  BNP Paribas S.A.      2.819   11/19/25   11,604 
 3,400,000   g  BNP Paribas S.A.      2.219   06/09/26   3,506 
 6,300,000   g  BNP Paribas S.A.      1.904   09/30/28   6,271 
 7,300,000   g  BNP Paribas S.A.      3.052   01/13/31   7,841 
 5,700,000   g  BNP Paribas S.A.      2.588   08/12/35   5,531 
 7,674,000   g  BPCE S.A.      4.625   07/11/24   8,450 
 2,950,000      Citigroup, Inc      2.700   10/27/22   3,075 
 8,500,000      Citigroup, Inc      3.875   03/26/25   9,351 
EUR250,000      Citigroup, Inc      1.500   07/24/26   308 
$36,375,000      Citigroup, Inc      3.200   10/21/26   40,108 
 6,575,000      Citigroup, Inc      4.300   11/20/26   7,526 
 21,485,000      Citigroup, Inc      4.450   09/29/27   24,887 
 49,250,000      Citigroup, Inc      2.666   01/29/31   51,800 
 11,000,000      Citigroup, Inc      4.412   03/31/31   13,193 
 7,125,000      Citigroup, Inc      2.572   06/03/31   7,489 
 4,000,000      Citigroup, Inc      6.300   N/A‡   4,190 
 5,000,000      Citigroup, Inc      5.000   N/A‡   4,975 
 7,400,000      Citizens Bank NA      2.650   05/26/22   7,647 
 6,875,000      Cooperatieve Rabobank UA      3.950   11/09/22   7,305 
 4,500,000   g  Cooperatieve Rabobank UA      2.625   07/22/24   4,801 
 15,225,000      Cooperatieve Rabobank UA      3.750   07/21/26   16,952 
 4,325,000   g  Credicorp Ltd      2.750   06/17/25   4,379 
 11,050,000   g  Credit Agricole S.A.      3.250   10/04/24   11,941 
 10,350,000   g  Credit Agricole S.A.      1.907   06/16/26   10,583 
 2,450,000   g  DBS Group Holdings Ltd      4.520   12/11/28   2,675 
 4,875,000      Discover Bank      3.200   08/09/21   4,973 
 8,200,000      Discover Bank      2.450   09/12/24   8,650 
 8,455,000      Discover Bank      3.450   07/27/26   9,253 
 4,575,000      Discover Bank      2.700   02/06/30   4,784 
GBP500,000      HSBC Holdings plc      2.175   06/27/23   655 
$4,250,000      HSBC Holdings plc      3.033   11/22/23   4,433 
 3,325,000      HSBC Holdings plc      2.633   11/07/25   3,463 
 6,100,000      HSBC Holdings plc      1.645   04/18/26   6,083 
 6,075,000      HSBC Holdings plc      3.900   05/25/26   6,713 
 20,075,000      HSBC Holdings plc      4.292   09/12/26   22,354 
 1,250,000      HSBC Holdings plc      4.375   11/23/26   1,379 
 6,450,000      HSBC Holdings plc      4.041   03/13/28   7,125 
 4,200,000      HSBC Holdings plc      2.013   09/22/28   4,155 
 4,375,000      HSBC Holdings plc      4.950   03/31/30   5,265 
 8,950,000      HSBC Holdings plc      3.973   05/22/30   10,014 
 3,850,000      HSBC Holdings plc      2.357   08/18/31   3,810 
 13,025,000      Huntington National Bank      2.500   08/07/22   13,495 
 3,375,000   g  ICICI Bank Ltd      3.800   12/14/27   3,488 
 4,350,000   g  ING Groep NV      4.625   01/06/26   5,101 
 15,200,000   g  ING Groep NV      1.400   07/01/26   15,370 
 2,125,000   g  Intercorp Financial Services, Inc      4.125   10/19/27   2,170 
 4,850,000      JPMorgan Chase & Co      2.700   05/18/23   5,121 
 35,850,000      JPMorgan Chase & Co      2.301   10/15/25   37,712 
 20,000,000      JPMorgan Chase & Co      2.005   03/13/26   20,765 
 14,900,000      JPMorgan Chase & Co      3.200   06/15/26   16,523 
323

COLLEGE RETIREMENT EQUITIES FUND - Bond Market Account

 

                 MATURITY  VALUE 
PRINCIPAL      ISSUER     RATE  DATE  (000) 
EUR600,000      JPMorgan Chase & Co      1.638%  05/18/28  $753 
$12,000,000      JPMorgan Chase & Co      4.203   07/23/29   14,195 
 23,700,000      JPMorgan Chase & Co      3.702   05/06/30   27,183 
 44,675,000      JPMorgan Chase & Co      2.739   10/15/30   48,095 
 23,000,000      JPMorgan Chase & Co      4.493   03/24/31   28,026 
 33,550,000      JPMorgan Chase & Co      2.522   04/22/31   35,710 
 4,575,000      JPMorgan Chase & Co      2.956   05/13/31   4,890 
 5,500,000      JPMorgan Chase & Co      5.000   N/A‡   5,491 
 9,000,000      Mitsubishi UFJ Financial Group, Inc      2.193   02/25/25   9,424 
 5,700,000      MUFG Americas Holdings Corp      3.500   06/18/22   5,974 
 8,850,000     Natwest Group plc      3.032   11/28/35   8,501 
 3,100,000   g  Oversea-Chinese Banking Corp Ltd      1.832   09/10/30   3,090 
 5,625,000      PNC Bank NA      2.450   11/05/20   5,626 
 4,000,000      PNC Bank NA      2.700   10/22/29   4,327 
 6,000,000      PNC Financial Services Group, Inc      3.900   04/29/24   6,608 
 11,800,000      Royal Bank of Canada      2.550   07/16/24   12,621 
 6,325,000      Royal Bank of Scotland Group plc      3.073   05/22/28   6,643 
 9,350,000      Santander Holdings USA, Inc      3.400   01/18/23   9,789 
 13,100,000   g  Skandinaviska Enskilda Banken AB      2.625   11/17/20   13,139 
 3,675,000      Sumitomo Mitsui Financial Group, Inc      2.778   10/18/22   3,835 
 11,050,000      Sumitomo Mitsui Financial Group, Inc      2.696   07/16/24   11,755 
 11,000,000      Toronto-Dominion Bank      1.150   06/12/25   11,176 
 2,350,000      Toronto-Dominion Bank      3.625   09/15/31   2,640 
 6,850,000      Truist Bank      3.525   10/26/21   6,864 
 5,700,000      Truist Bank      2.750   05/01/23   6,012 
 4,800,000      Truist Bank      2.150   12/06/24   5,081 
 5,000,000      Truist Financial Corp      4.000   05/01/25   5,684 
 5,000,000      Truist Financial Corp      4.950   N/A‡   5,263 
 4,000,000      Truist Financial Corp      4.800   N/A‡   4,015 
 450,000   g  UniCredit S.p.A      2.569   09/22/26   444 
 2,550,000   g  United Overseas Bank Ltd      3.750   04/15/29   2,720 
 4,650,000      Westpac Banking Corp      2.850   05/13/26   5,145 
 6,450,000      Westpac Banking Corp      4.110   07/24/34   7,247 
        TOTAL BANKS              1,125,685 
                         
CAPITAL GOODS - 1.0%                
GBP1,000,000      BAE Systems plc      4.125   06/08/22   1,358 
$4,175,000   g  BAE Systems plc      3.400   04/15/30   4,672 
 2,475,000   g  BAE Systems plc      1.900   02/15/31   2,449 
 225,000   g  Beacon Roofing Supply, Inc      4.500   11/15/26   232 
 3,600,000   g  BOC Aviation Ltd      3.000   09/11/29   3,661 
 1,775,000   g  Embraer Netherlands Finance BV      6.950   01/17/28   1,797 
 1,432,000      General Electric Co      5.875   01/14/38   1,669 
 108,000      General Electric Co      6.875   01/10/39   138 
 1,850,000   g  Gold Fields Orogen Holdings BVI Ltd      6.125   05/15/29   2,151 
EUR500,000     Honeywell International, Inc      0.000   03/10/24   586 
$275,000      Howmet Aerospace, Inc      6.875   05/01/25   304 
 1,000,000      Ingersoll-Rand Global Holding Co Ltd      3.750   08/21/28   1,148 
 13,245,000      Ingersoll-Rand Luxembourg Finance S.A.      3.800   03/21/29   15,520 
 2,175,000      Johnson Controls International plc      1.750   09/15/30   2,193 
 3,000,000   g  Korea East-West Power Co Ltd      1.750   05/06/25   3,100 
 3,150,000      L3Harris Technologies, Inc      3.850   06/15/23   3,410 
 5,070,000      L3Harris Technologies, Inc      2.900   12/15/29   5,533 
324

COLLEGE RETIREMENT EQUITIES FUND - Bond Market Account

 

                 MATURITY  VALUE 
PRINCIPAL      ISSUER     RATE  DATE  (000) 
$3,340,000      Lockheed Martin Corp      2.500%  11/23/20  $3,344 
 1,700,000      Lockheed Martin Corp      1.850   06/15/30   1,768 
 2,150,000      Lockheed Martin Corp      2.800   06/15/50   2,233 
 9,825,000   g  Molex Electronic Technologies LLC      3.900   04/15/25   10,210 
 8,925,000      Northrop Grumman Corp      3.250   01/15/28   10,023 
EUR500,000      Parker-Hannifin Corp      1.125   03/01/25   599 
$19,200,000      Parker-Hannifin Corp      3.250   06/14/29   21,490 
 6,600,000      Raytheon Technologies Corp      2.250   07/01/30   6,932 
 5,475,000      Roper Technologies, Inc      3.800   12/15/26   6,317 
 1,750,000      Roper Technologies, Inc      4.200   09/15/28   2,088 
 1,000,000      Roper Technologies, Inc      2.950   09/15/29   1,100 
 250,000   g  Sigma Alimentos S.A. de C.V.      4.125   05/02/26   266 
 650,000      Trimble, Inc      4.900   06/15/28   766 
 4,000,000   g  TSMC Global Ltd      0.750   09/28/25   3,963 
 4,000,000   g  TSMC Global Ltd      1.000   09/28/27   3,929 
 361,000      United Technologies Corp      3.650   08/16/23   390 
 16,850,000      United Technologies Corp      4.125   11/16/28   19,941 
 6,665,000      United Technologies Corp      4.500   06/01/42   8,399 
 400,000   g  WESCO Distribution, Inc      7.125   06/15/25   436 
 300,000   g  WESCO Distribution, Inc      7.250   06/15/28   329 
 975,000      Xylem, Inc      2.250   01/30/31   1,033 
        TOTAL CAPITAL GOODS              155,477 
                         
COMMERCIAL & PROFESSIONAL SERVICES - 0.4%                
 875,000      AECOM      5.875   10/15/24   947 
 325,000   g  ASGN, Inc      4.625   05/15/28   326 
 250,000   g  GFL Environmental, Inc      4.250   06/01/25   252 
 1,000,000   g,h  GFL Environmental, Inc      3.750   08/01/25   997 
 1,950,000      IHS Markit Ltd      4.125   08/01/23   2,121 
 3,175,000      IHS Markit Ltd      4.250   05/01/29   3,683 
 2,350,000   g  Prime Security Services Borrower LLC      5.250   04/15/24   2,462 
 2,000,000   g  Prime Security Services Borrower LLC      5.750   04/15/26   2,139 
 1,325,000   g  Prime Security Services Borrower LLC      3.375   08/31/27   1,274 
 725,000   g  Prime Security Services Borrower LLC      6.250   01/15/28   734 
EUR500,000      RELX Capital, Inc      1.300   05/12/25   618 
$11,102,000      Republic Services, Inc      3.550   06/01/22   11,582 
 7,971,000      Republic Services, Inc      2.900   07/01/26   8,813 
 1,000,000      United Rentals North America, Inc      4.625   10/15/25   1,023 
 1,250,000      Verisk Analytics, Inc      4.125   03/15/29   1,473 
 1,050,000      Verisk Analytics, Inc      3.625   05/15/50   1,195 
 9,650,000      Waste Management, Inc      2.900   09/15/22   10,057 
 2,225,000      Waste Management, Inc      4.100   03/01/45   2,718 
 3,475,000      Waste Management, Inc      4.150   07/15/49   4,426 
        TOTAL COMMERCIAL & PROFESSIONAL SERVICES      56,840 
                         
CONSUMER DURABLES & APPAREL - 0.0%                
 1,600,000      Leggett & Platt, Inc      4.400   03/15/29   1,773 
 149,000      Newell Brands, Inc      4.875   06/01/25   161 
        TOTAL CONSUMER DURABLES & APPAREL       1,934 
                         
CONSUMER SERVICES - 0.8%                
 9,820,000      Amherst College      4.100   11/01/45   11,938 
 29,085,000      Anheuser-Busch Cos LLC      3.650   02/01/26   32,506 
 9,500,000      Anheuser-Busch Cos LLC      4.900   02/01/46   11,776 
325

COLLEGE RETIREMENT EQUITIES FUND - Bond Market Account

 

                 MATURITY  VALUE 
PRINCIPAL      ISSUER     RATE  DATE  (000) 
$1,100,000   g  Arcos Dorados Holdings, Inc      5.875%  04/04/27  $1,150 
 1,825,000   g  Cedar Fair LP      5.500   05/01/25   1,875 
 125,000   g  Hilton Domestic Operating Co, Inc      5.375   05/01/25   130 
 125,000   g  Hilton Domestic Operating Co, Inc      5.750   05/01/28   132 
 925,000   g  International Game Technology plc      6.250   02/15/22   945 
 1,610,000   g  International Game Technology plc      6.500   02/15/25   1,717 
 775,000   g  MGM China Holdings Ltd      5.250   06/18/25   785 
 8,000,000      President and Fellows of Harvard College      3.529   10/01/31   9,699 
 14,250,000      President and Fellows of Harvard College      3.619   10/01/37   17,265 
 2,100,000      Sands China Ltd      5.400   08/08/28   2,336 
 1,000,000   g  Scientific Games International, Inc      5.000   10/15/25   1,006 
EUR500,000      Scientific Games International, Inc      3.375   02/15/26   557 
$15,000,000      Smith College      4.620   07/01/45   19,937 
 1,125,000   g  Wynn Macau Ltd      5.500   01/15/26   1,109 
 100,000   g  Yum! Brands, Inc      7.750   04/01/25   110 
        TOTAL CONSUMER SERVICES              114,973 
                         
DIVERSIFIED FINANCIALS - 3.5%                
 3,500,000      AerCap Ireland Capital DAC      3.650   07/21/27   3,204 
 7,000,000      AerCap Ireland Capital DAC      4.625   10/15/27   6,789 
 5,525,000      American Express Co      2.500   08/01/22   5,721 
 4,000,000      American Express Co      3.700   08/03/23   4,333 
 2,775,000      American Express Credit Corp      3.300   05/03/27   3,133 
EUR425,000      American Honda Finance Corp      1.950   10/18/24   534 
$3,975,000      Ameriprise Financial, Inc      3.000   03/22/22   4,124 
 6,000,000      Australia & New Zealand Banking Group Ltd      2.625   05/19/22   6,227 
 300,000   g  Bangkok Bank PCL      3.733   09/25/34   294 
 5,350,000      Bank of Montreal      3.803   12/15/32   5,960 
 1,650,000   g  BBVA Bancomer S.A.      1.875   09/18/25   1,612 
 300,000   g  BBVA Bancomer S.A.      5.350   11/12/29   297 
 1,500,000   g  BBVA Bancomer S.A.      5.125   01/18/33   1,444 
 4,525,000      Berkshire Hathaway, Inc      3.125   03/15/26   5,051 
 20,775,000      Capital One Bank USA NA      3.375   02/15/23   21,955 
EUR150,000      Capital One Financial Corp      0.800   06/12/24   176 
$6,250,000      Community Preservation Corp      2.867   02/01/30   6,690 
 9,800,000   g  Credit Suisse Group AG.      2.997   12/14/23   10,200 
 8,475,000   g  Credit Suisse Group AG.      2.193   06/05/26   8,751 
GBP300,000      Credit Suisse Group AG.      2.250   06/09/28   397 
$8,525,000   g  Credit Suisse Group AG.      4.194   04/01/31   9,836 
 7,700,000      Credit Suisse Group Funding Guernsey Ltd      3.800   06/09/23   8,280 
 10,250,000      Credit Suisse Group Funding Guernsey Ltd      3.750   03/26/25   11,356 
GBP300,000      Danske Bank A.S.      2.250   01/14/28   393 
$9,325,000      Deutsche Bank AG.      3.547   09/18/31   9,370 
EUR500,000      EDP Finance BV      1.125   02/12/24   608 
$4,000,000      Ford Motor Credit Co LLC      3.096   05/04/23   3,906 
 4,825,000      GE Capital International Funding Co      3.373   11/15/25   5,146 
 25,700,000      GE Capital International Funding Co      4.418   11/15/35   27,161 
 20,000,000      General Motors Financial Co, Inc      2.750   06/20/25   20,486 
 5,475,000      General Motors Financial Co, Inc      5.650   01/17/29   6,391 
 11,000,000      General Motors Financial Co, Inc      3.600   06/21/30   11,341 
 5,450,000      General Motors Financial Co, Inc      5.700   N/A‡   5,470 
EUR850,000      Goldman Sachs Group, Inc      2.000   07/27/23   1,050 
$13,575,000      Goldman Sachs Group, Inc      3.500   01/23/25   14,892 
326

COLLEGE RETIREMENT EQUITIES FUND - Bond Market Account

 

                 MATURITY  VALUE 
PRINCIPAL      ISSUER     RATE  DATE  (000) 
$26,625,000      Goldman Sachs Group, Inc      3.691%  06/05/28  $29,850 
 7,400,000      Goldman Sachs Group, Inc      2.600   02/07/30   7,808 
 6,075,000      Goldman Sachs Group, Inc      4.017   10/31/38   7,076 
 7,675,000      Goldman Sachs Group, Inc      4.800   07/08/44   10,026 
 1,162,925      Golondrina Leasing LLC      1.822   05/03/25   1,198 
 4,000,000   g  Grupo Aval Ltd      4.750   09/26/22   4,095 
 3,325,000   g  Grupo Aval Ltd      4.375   02/04/30   3,209 
 5,000,000      International Lease Finance Corp      5.875   08/15/22   5,350 
 1,305,000      Legg Mason, Inc      3.950   07/15/24   1,443 
 19,000,000      Morgan Stanley      2.188   04/28/26   19,889 
 37,625,000      Morgan Stanley      3.125   07/27/26   41,535 
EUR700,000      Morgan Stanley      1.342   10/23/26   860 
$6,900,000      Morgan Stanley      3.625   01/20/27   7,794 
 21,500,000      Morgan Stanley      2.699   01/22/31   22,953 
 3,350,000   g  Power Finance Corp Ltd      3.950   04/23/30   3,245 
 6,080,000      Shire Acquisitions Investments Ireland DAC      3.200   09/23/26   6,759 
 550,000      Springleaf Finance Corp      5.375   11/15/29   572 
 2,600,000   g  Swiss Re Finance Luxembourg SA      5.000   04/02/49   2,963 
 2,150,000      Synchrony Financial      4.375   03/19/24   2,331 
 7,119,000      Synchrony Financial      4.250   08/15/24   7,735 
 5,000,000   g  UBS AG.      2.450   12/01/20   5,009 
 10,157,000   g  UBS Group AG.      2.859   08/15/23   10,546 
 5,900,000   g  UBS Group AG.      3.126   08/13/30   6,548 
 1,000,000      Voya Financial, Inc      5.700   07/15/43   1,339 
 8,400,000      Wells Fargo & Co      3.750   01/24/24   9,125 
 5,300,000      Wells Fargo & Co      3.550   09/29/25   5,893 
 5,600,000      Wells Fargo & Co      3.000   10/23/26   6,113 
 21,575,000      Wells Fargo & Co      2.393   06/02/28   22,500 
 11,950,000      Wells Fargo & Co      2.879   10/30/30   12,746 
 6,000,000      Wells Fargo & Co      5.900   N/A‡   6,133 
 8,500,000      Wells Fargo & Co      5.875   N/A‡   9,158 
        TOTAL DIVERSIFIED FINANCIALS        514,379 
                         
ENERGY - 3.2%                
 1,825,000   g  Abu Dhabi Crude Oil Pipeline LLC      4.600   11/02/47   2,233 
 1,050,000      AmeriGas Partners LP      5.875   08/20/26   1,154 
 11,000,000      Chevron Corp      1.554   05/11/25   11,396 
 4,925,000      Chevron Corp      2.236   05/11/30   5,223 
 11,200,000      Concho Resources, Inc      2.400   02/15/31   10,702 
 2,375,000      Crestwood Midstream Partners LP      5.750   04/01/25   2,161 
 10,000,000      Diamondback Energy, Inc      2.875   12/01/24   10,123 
 250,000      Ecopetrol S.A.      5.375   06/26/26   276 
 4,100,000      Ecopetrol S.A.      6.875   04/29/30   4,910 
 1,430,000      Ecopetrol S.A.      5.875   05/28/45   1,559 
 475,000      Enable Midstream Partners LP      4.150   09/15/29   440 
 8,225,000      Enbridge, Inc      3.125   11/15/29   8,739 
 6,421,000      Energy Transfer Operating LP      3.600   02/01/23   6,599 
 5,930,000      Energy Transfer Operating LP      4.200   09/15/23   6,249 
 4,575,000      Energy Transfer Operating LP      2.900   05/15/25   4,599 
 4,725,000      Energy Transfer Operating LP      4.750   01/15/26   5,035 
 2,950,000      Energy Transfer Operating LP      5.500   06/01/27   3,217 
 7,850,000      Energy Transfer Operating LP      4.950   06/15/28   8,309 
 4,225,000      Energy Transfer Operating LP      5.250   04/15/29   4,543 
 10,350,000      Energy Transfer Operating LP      3.750   05/15/30   10,017 
327

COLLEGE RETIREMENT EQUITIES FUND - Bond Market Account

 

                 MATURITY  VALUE 
PRINCIPAL      ISSUER     RATE  DATE  (000) 
$8,700,000      Energy Transfer Operating LP      6.250%  04/15/49  $8,953 
 9,125,000      Energy Transfer Operating LP      5.000   05/15/50   8,376 
 5,125,000      Enterprise Products Operating LLC      3.700   02/15/26   5,747 
 6,275,000      Enterprise Products Operating LLC      3.125   07/31/29   6,834 
 700,000      Enterprise Products Operating LLC      2.800   01/31/30   741 
 1,250,000      Enterprise Products Operating LLC      4.900   05/15/46   1,407 
 4,025,000      Enterprise Products Operating LLC      4.250   02/15/48   4,268 
 6,200,000      Enterprise Products Operating LLC      4.800   02/01/49   7,135 
 4,200,000      Enterprise Products Operating LLC      4.200   01/31/50   4,459 
 10,600,000      Enterprise Products Operating LLC      3.700   01/31/51   10,440 
 5,125,000      Enterprise Products Operating LLC      3.950   01/31/60   5,032 
 1,225,000   g  EQM Midstream Partners LP      6.000   07/01/25   1,263 
 300,000   g  Gazprom OAO Via Gaz Capital S.A.      4.950   03/23/27   334 
 4,850,000      Kinder Morgan Energy Partners LP      5.400   09/01/44   5,619 
 2,065,000      Kinder Morgan, Inc      5.300   12/01/34   2,432 
 4,000,000   g  Leviathan Bond Ltd      5.750   06/30/23   4,120 
 800,000   g  Leviathan Bond Ltd      6.125   06/30/25   826 
 10,675,000      Magellan Midstream Partners LP      3.250   06/01/30   11,449 
 9,075,000      Marathon Petroleum Corp      3.800   04/01/28   9,853 
 2,800,000      Marathon Petroleum Corp      4.750   09/15/44   2,917 
 5,500,000      Marathon Petroleum Corp      5.000   09/15/54   5,646 
 8,950,000      MPLX LP      1.750   03/01/26   8,930 
 11,000,000      MPLX LP      4.000   03/15/28   12,003 
 6,200,000      MPLX LP      2.650   08/15/30   6,075 
 12,525,000      MPLX LP      4.500   04/15/38   12,803 
 6,150,000      MPLX LP      4.700   04/15/48   6,220 
 675,000      Murphy Oil Corp      5.875   12/01/27   576 
 1,000,000      NAK Naftogaz Ukraine via Kondor Finance plc   7.375   07/19/22   1,004 
 900,000      Noble Energy, Inc      3.900   11/15/24   985 
 1,675,000      Noble Energy, Inc      3.850   01/15/28   1,901 
 3,465,000      Noble Energy, Inc      5.050   11/15/44   4,488 
 1,400,000      NuStar Logistics LP      5.750   10/01/25   1,446 
 3,000,000      Occidental Petroleum Corp      3.500   06/15/25   2,490 
 2,200,000      Occidental Petroleum Corp      5.550   03/15/26   1,993 
 3,900,000      Occidental Petroleum Corp      4.300   08/15/39   2,703 
 1,350,000   g  Oleoducto Central S.A.      4.000   07/14/27   1,402 
 1,775,000      ONEOK, Inc      4.000   07/13/27   1,847 
 11,642,000      ONEOK, Inc      4.550   07/15/28   12,333 
 12,150,000      ONEOK, Inc      4.350   03/15/29   12,677 
 10,380,000      ONEOK, Inc      3.400   09/01/29   10,182 
 5,500,000      ONEOK, Inc      3.100   03/15/30   5,292 
 2,000,000      ONEOK, Inc      5.200   07/15/48   1,925 
 5,500,000      ONEOK, Inc      4.500   03/15/50   4,859 
 3,000,000   g  Pertamina Persero PT      4.300   05/20/23   3,212 
 1,425,000   g  Pertamina Persero PT      3.650   07/30/29   1,529 
 2,600,000   g  Peru LNG Srl      5.375   03/22/30   1,991 
 2,335,000      Petrobras Global Finance BV      5.999   01/27/28   2,594 
 1,100,000      Petrobras Global Finance BV      5.093   01/15/30   1,156 
 4,000,000      Petrobras Global Finance BV      5.600   01/03/31   4,273 
 750,000      Petrobras Global Finance BV      7.250   03/17/44   855 
EUR375,000      Petroleos Mexicanos      1.875   04/21/22   420 
$5,000,000      Petroleos Mexicanos      1.950   12/20/22   5,053 
 2,675,000      Petroleos Mexicanos      2.000   12/20/22   2,724 
 3,900,000      Petroleos Mexicanos      4.500   01/23/26   3,460 
328

COLLEGE RETIREMENT EQUITIES FUND - Bond Market Account

 

                 MATURITY  VALUE 
PRINCIPAL      ISSUER     RATE  DATE  (000) 
$3,775,000      Petroleos Mexicanos      6.500%  03/13/27  $3,520 
 2,650,000      Petroleos Mexicanos      5.350   02/12/28   2,268 
 2,988,000   g  Petroleos Mexicanos      6.840   01/23/30   2,659 
 5,300,000   g  Petroleos Mexicanos      5.950   01/28/31   4,408 
 2,150,000   g  Petronas Capital Ltd      3.500   04/21/30   2,398 
 3,250,000      Phillips 66 Partners LP      3.150   12/15/29   3,205 
 3,275,000      Phillips 66 Partners LP      4.680   02/15/45   3,332 
 1,200,000      Regency Energy Partners LP      4.500   11/01/23   1,275 
 2,623,500   g  Rio Oil Finance Trust      8.200   04/06/28   2,807 
 9,875,000      Sabine Pass Liquefaction LLC      4.200   03/15/28   10,713 
 5,200,000   g  Sabine Pass Liquefaction LLC      4.500   05/15/30   5,852 
 5,550,000      Shell International Finance BV      2.250   01/06/23   5,775 
 4,875,000      Shell International Finance BV      2.875   05/10/26   5,396 
 6,900,000      Shell International Finance BV      3.125   11/07/49   7,105 
 350,000   g  Stena AB      7.000   02/01/24   342 
 6,500,000      Sunoco Logistics Partners Operations LP      4.000   10/01/27   6,636 
 1,925,000      Sunoco Logistics Partners Operations LP      5.400   10/01/47   1,814 
 525,000      Sunoco LP      4.875   01/15/23   528 
 600,000      Targa Resources Partners LP      5.125   02/01/25   598 
 1,000,000      Targa Resources Partners LP      5.875   04/15/26   1,027 
 425,000      Targa Resources Partners LP      6.500   07/15/27   443 
 5,800,000   g  Thaioil Treasury Center Co Ltd      2.500   06/18/30   5,661 
EUR600,000      Total Capital International S.A.      2.500   03/25/26   801 
$11,000,000      Total Capital International S.A.      3.127   05/29/50   11,362 
 19,150,000      TransCanada PipeLines Ltd      4.250   05/15/28   22,127 
 1,400,000      Vale Overseas Ltd      6.250   08/10/26   1,655 
 5,075,000      Williams Partners LP      3.750   06/15/27   5,566 
 2,000,000   g  YPF S.A.      8.500   07/28/25   1,462 
        TOTAL ENERGY              477,471 
                         
FOOD & STAPLES RETAILING - 0.6%                
 5,225,000      Costco Wholesale Corp      1.375   06/20/27   5,349 
 7,850,000      Costco Wholesale Corp      1.600   04/20/30   7,996 
 2,450,000      Costco Wholesale Corp      1.750   04/20/32   2,512 
 1,223,000      Ingles Markets, Inc      5.750   06/15/23   1,240 
 5,575,000      Kroger Co      3.700   08/01/27   6,388 
 3,140,000      Kroger Co      3.875   10/15/46   3,552 
 1,325,000      Kroger Co      4.450   02/01/47   1,628 
 2,636,000      Kroger Co      3.950   01/15/50   3,070 
EUR1,000,000      SYSCO Corp      1.250   06/23/23   1,187 
$22,300,000      Walmart, Inc      3.700   06/26/28   26,355 
 4,350,000      Walmart, Inc      3.250   07/08/29   5,068 
 13,650,000      Walmart, Inc      2.375   09/24/29   15,067 
 6,150,000      Walmart, Inc      3.950   06/28/38   7,696 
        TOTAL FOOD & STAPLES RETAILING           87,108 
                         
FOOD, BEVERAGE & TOBACCO - 1.4%                
 6,425,000      Altria Group, Inc      4.800   02/14/29   7,620 
 3,375,000      Altria Group, Inc      3.400   05/06/30   3,673 
 5,800,000      Altria Group, Inc      5.950   02/14/49   7,776 
 18,600,000      Anheuser-Busch InBev Worldwide, Inc      4.750   01/23/29   22,610 
 5,045,000      Anheuser-Busch InBev Worldwide, Inc      4.439   10/06/48   5,878 
 6,275,000      BAT Capital Corp      2.259   03/25/28   6,290 
 16,425,000      BAT Capital Corp      4.906   04/02/30   19,360 
329

COLLEGE RETIREMENT EQUITIES FUND - Bond Market Account

 

                 MATURITY  VALUE 
PRINCIPAL      ISSUER     RATE  DATE  (000) 
$10,875,000      BAT Capital Corp      2.726%  03/25/31  $10,771 
 5,225,000      BAT Capital Corp      3.734   09/25/40   5,185 
 5,500,000      BAT Capital Corp      4.540   08/15/47   5,878 
 1,500,000   g  BRF S.A.      5.750   09/21/50   1,488 
 2,750,000      Coca-Cola Co      1.450   06/01/27   2,835 
 25,000,000      Coca-Cola Co      1.000   03/15/28   24,919 
 3,375,000      Coca-Cola Co      1.650   06/01/30   3,492 
EUR400,000      Coca-Cola Co      0.800   03/15/40   463 
$1,700,000      Constellation Brands, Inc      4.400   11/15/25   1,976 
 2,675,000      Constellation Brands, Inc      3.700   12/06/26   3,059 
 1,825,000      Constellation Brands, Inc      3.600   02/15/28   2,062 
 3,225,000      Constellation Brands, Inc      3.150   08/01/29   3,520 
 1,125,000      Constellation Brands, Inc      2.875   05/01/30   1,214 
 3,000,000   g  Corp Lindley S.A.      4.625   04/12/23   3,143 
 5,500,000      Diageo Capital plc      2.125   10/24/24   5,825 
 4,500,000      Diageo Capital plc      1.375   09/29/25   4,611 
 8,050,000      Diageo Capital plc      2.375   10/24/29   8,578 
 3,900,000      Diageo Capital plc      2.000   04/29/30   4,015 
 3,600,000   g  Embotelladora Andina S.A.      3.950   01/21/50   3,807 
 1,550,000      General Mills, Inc      2.875   04/15/30   1,700 
 3,700,000   g  Grupo Bimbo SAB de C.V.      4.700   11/10/47   4,308 
 2,400,000   g  Grupo Bimbo SAB de C.V.      5.950   N/A‡   2,514 
 1,550,000      JM Smucker Co      2.375   03/15/30   1,616 
 4,450,000      JM Smucker Co      3.550   03/15/50   4,749 
 3,900,000      Kellogg Co      3.400   11/15/27   4,395 
EUR400,000      PepsiCo, Inc      0.500   05/06/28   481 
$3,125,000      PepsiCo, Inc      3.450   10/06/46   3,615 
 6,325,000      Philip Morris International, Inc      2.100   05/01/30   6,501 
 1,600,000      Philip Morris International, Inc      6.375   05/16/38   2,371 
 2,050,000   g  Post Holdings, Inc      4.625   04/15/30   2,109 
 2,700,000      Tyson Foods, Inc      3.900   09/28/23   2,952 
        TOTAL FOOD, BEVERAGE & TOBACCO           207,359 
                         
HEALTH CARE EQUIPMENT & SERVICES - 2.0%                
 4,750,000      Abbott Laboratories      3.875   09/15/25   5,423 
 11,022,000      Abbott Laboratories      3.750   11/30/26   12,787 
 2,250,000      Abbott Laboratories      5.300   05/27/40   3,286 
 11,100,000      Anthem, Inc      3.650   12/01/27   12,639 
EUR500,000   g  Avantor Funding, Inc      3.875   07/15/28   599 
$1,500,000   g  Avantor Funding, Inc      4.625   07/15/28   1,556 
EUR430,000      Becton Dickinson & Co      1.401   05/24/23   518 
  670,000      Becton Dickinson & Co      1.900   12/15/26   835 
$11,589,000      Becton Dickinson & Co      3.700   06/06/27   13,134 
 4,850,000      Boston Scientific Corp      4.000   03/01/29   5,639 
 3,650,000      Centene Corp      4.250   12/15/27   3,820 
 19,230,000      Children’s Hospital Medic      4.268   05/15/44   24,101 
 5,350,000      Cigna Corp      2.400   03/15/30   5,532 
 5,075,000      Cigna Corp      3.200   03/15/40   5,370 
 3,800,000      Covidien International Finance S.A.      3.200   06/15/22   3,952 
 6,775,000      CVS Health Corp      2.625   08/15/24   7,220 
 15,950,000      CVS Health Corp      2.875   06/01/26   17,267 
 23,450,000      CVS Health Corp      3.750   04/01/30   26,795 
 25,800,000      CVS Health Corp      1.750   08/21/30   25,257 
 10,300,000      CVS Health Corp      4.780   03/25/38   12,465 
330

COLLEGE RETIREMENT EQUITIES FUND - Bond Market Account

 

                 MATURITY  VALUE 
PRINCIPAL      ISSUER     RATE  DATE  (000) 
$4,675,000      CVS Health Corp      2.700%  08/21/40  $4,472 
 8,350,000      CVS Health Corp      5.050   03/25/48   10,619 
 3,750,000      CVS Health Corp      4.250   04/01/50   4,398 
 3,325,000      Danaher Corp      2.600   10/01/50   3,239 
 4,105,000      Dartmouth-Hitchcock Health      4.178   08/01/48   4,901 
 1,250,000   g  DaVita, Inc      4.625   06/01/30   1,283 
 4,325,000   g  DaVita, Inc      3.750   02/15/31   4,167 
EUR500,000      DH Europe Finance Sarl      1.200   06/30/27   616 
$875,000      Encompass Health Corp      4.625   04/01/31   875 
 4,225,000      HCA, Inc      5.625   09/01/28   4,833 
 5,000,000      HCA, Inc      5.500   06/15/47   6,234 
 3,500,000   g  Hologic, Inc      3.250   02/15/29   3,522 
 6,250,000      Humana, Inc      3.950   03/15/27   7,151 
 12,500,000      Mercy Health      3.382   11/01/25   13,504 
 500,000   g  Molina Healthcare, Inc      4.375   06/15/28   510 
 5,000,000      New York and Presbyterian Hospital      3.563   08/01/36   5,643 
 11,046,000   g  SBA Tower Trust      1.884   01/15/26   11,289 
EUR450,000      Stryker Corp      2.625   11/30/30   621 
$150,000   g  Teleflex, Inc      4.250   06/01/28   155 
 375,000   g  Tenet Healthcare Corp      4.625   06/15/28   378 
 5,775,000      UnitedHealth Group, Inc      2.950   10/15/27   6,433 
 4,625,000      UnitedHealth Group, Inc      3.750   10/15/47   5,478 
 2,150,000      Zimmer Biomet Holdings, Inc      3.700   03/19/23   2,295 
 3,745,000      Zimmer Biomet Holdings, Inc      3.550   04/01/25   4,139 
        TOTAL HEALTH CARE EQUIPMENT & SERVICES           294,950 
                         
HOUSEHOLD & PERSONAL PRODUCTS - 0.0%                
 3,000,000      Kimberly-Clark Corp      1.050   09/15/27   3,021 
EUR600,000      The Procter & Gamble Company      0.625   10/30/24   727 
 400,000      The Procter & Gamble Company      1.875   10/30/38   581 
        TOTAL HOUSEHOLD & PERSONAL PRODUCTS          4,329 
                         
INSURANCE - 1.2%                
$1,925,000      Aetna, Inc      6.625   06/15/36   2,734 
 1,525,000   g  AIA Group Ltd      3.200   09/16/40   1,575 
 5,500,000      Allstate Corp      3.850   08/10/49   6,523 
 2,700,000      American Financial Group, Inc      3.500   08/15/26   2,922 
 7,450,000      American International Group, Inc      3.400   06/30/30   8,218 
 6,350,000      Aon Corp      2.800   05/15/30   6,856 
 12,975,000      Aon plc      3.500   06/14/24   14,135 
 3,250,000      AXIS Specialty Finance LLC      4.900   01/15/40   3,245 
 2,275,000      Berkshire Hathaway Finance Corp      1.850   03/12/30   2,376 
 2,400,000      Berkshire Hathaway Finance Corp      4.250   01/15/49   3,123 
 6,250,000      Chubb INA Holdings, Inc      2.875   11/03/22   6,537 
EUR450,000      Chubb INA Holdings, Inc      0.875   06/15/27   541 
 500,000      Chubb INA Holdings, Inc      1.550   03/15/28   628 
 450,000      Chubb INA Holdings, Inc      1.400   06/15/31   561 
$3,525,000      CNA Financial Corp      3.950   05/15/24   3,905 
 3,775,000      CNA Financial Corp      2.050   08/15/30   3,741 
 1,825,000   g  Equitable Financial Life Global Funding      1.400   07/07/25   1,863 
EUR250,000      Fairfax Financial Holdings Ltd      2.750   03/29/28   304 
$5,575,000   g  Five Corners Funding Trust      4.419   11/15/23   6,194 
 7,325,000   g  Five Corners Funding Trust II      2.850   05/15/30   7,901 
 5,500,000      Hartford Financial Services Group, Inc      2.800   08/19/29   5,960 
331

COLLEGE RETIREMENT EQUITIES FUND - Bond Market Account

 

                 MATURITY  VALUE 
PRINCIPAL      ISSUER     RATE  DATE  (000) 
$1,350,000      Hartford Financial Services Group, Inc      4.300%  04/15/43  $1,583 
 3,375,000      Hartford Financial Services Group, Inc      3.600   08/19/49   3,739 
 728,000   g  Liberty Mutual Group, Inc      4.250   06/15/23   796 
EUR750,000      Liberty Mutual Group, Inc      2.750   05/04/26   981 
$4,100,000   g  Liberty Mutual Group, Inc      3.951   10/15/50   4,567 
 1,600,000      Marsh & McLennan Cos, Inc      3.500   06/03/24   1,748 
 1,365,000      Marsh & McLennan Cos, Inc      3.500   03/10/25   1,508 
 4,325,000      MetLife, Inc      3.600   11/13/25   4,909 
 18,175,000      MetLife, Inc      3.850   N/A‡   18,107 
 3,025,000   g  Metropolitan Life Global Funding I      2.950   04/09/30   3,393 
 11,875,000      PartnerRe Finance B LLC      4.500   10/01/50   11,911 
 6,000,000      Principal Financial Group, Inc      2.125   06/15/30   6,176 
 2,500,000      Prudential Financial, Inc      3.905   12/07/47   2,775 
 6,960,000      Prudential Financial, Inc      3.700   10/01/50   7,101 
 3,000,000   g  Prudential Funding LLC      6.750   09/15/23   3,464 
 4,150,000      Reinsurance Group of America, Inc      3.900   05/15/29   4,735 
 1,300,000      Travelers Cos, Inc      2.550   04/27/50   1,272 
 7,750,000   g,i  Vitality Re IX Ltd      1.692   01/10/22   7,711 
 3,500,000   g,i  Vitality Re X Ltd      1.842   01/10/23   3,481 
        TOTAL INSURANCE              179,799 
                         
MATERIALS - 1.1%                
 1,750,000      Air Products & Chemicals, Inc      1.500   10/15/25   1,815 
 1,950,000      Air Products & Chemicals, Inc      2.050   05/15/30   2,055 
 4,550,000   g  Anglo American Capital plc      2.625   09/10/30   4,513 
 7,475,000      AngloGold Ashanti Holdings plc      3.750   10/01/30   7,623 
 250,000   g  Arconic Corp      6.000   05/15/25   267 
 175,000   g  Arconic Rolled Products Corp      6.125   02/15/28   180 
EUR250,000      Ball Corp      4.375   12/15/23   320 
 425,000      Ball Corp      0.875   03/15/24   489 
$1,875,000      Ball Corp      2.875   08/15/30   1,854 
 852,000      Bemis Co, Inc      3.100   09/15/26   928 
 2,600,000      Bemis Co, Inc      2.630   06/19/30   2,775 
 200,000      Celulosa Arauco y Constitucion S.A.      3.875   11/02/27   212 
 3,000,000   g  Celulosa Arauco y Constitucion S.A.      4.250   04/30/29   3,176 
 1,650,000   g  Celulosa Arauco y Constitucion S.A.      4.200   01/29/30   1,747 
 3,175,000   g  Cemex SAB de C.V.      7.375   06/05/27   3,431 
 2,500,000   g  Cemex SAB de C.V.      5.450   11/19/29   2,528 
 3,900,000   g  Corp Nacional del Cobre de Chile-CODELCO      3.625   08/01/27   4,271 
 3,000,000   g  Corp Nacional del Cobre de Chile-CODELCO      3.150   01/14/30   3,188 
 2,000,000   g  Corp Nacional del Cobre de Chile-CODELCO      3.700   01/30/50   2,116 
 4,000,000      DowDuPont, Inc      4.725   11/15/28   4,799 
 500,000   g  Element Solutions, Inc      3.875   09/01/28   491 
 4,300,000   g,h  First Quantum Minerals Ltd      6.875   10/15/27   4,142 
 3,000,000      Freeport-McMoRan, Inc      5.450   03/15/43   3,331 
 2,600,000   g  Fresnillo plc      4.250   10/02/50   2,568 
 775,000   g  Hudbay Minerals, Inc      6.125   04/01/29   767 
EUR350,000   g  INEOS Finance plc      2.875   05/01/26   394 
$2,561,000      International Paper Co      5.000   09/15/35   3,332 
 3,750,000      International Paper Co      4.350   08/15/48   4,580 
 3,000,000   g  Inversiones CMPC S.A.      4.375   04/04/27   3,341 
 1,500,000   g  Inversiones CMPC S.A.      3.850   01/13/30   1,641 
 5,672,000      LyondellBasell Industries NV      6.000   11/15/21   5,935 
 5,800,000   g  Midwest Connector Capital Co LLC      3.900   04/01/24   5,850 
332

COLLEGE RETIREMENT EQUITIES FUND - Bond Market Account

 

                 MATURITY  VALUE 
PRINCIPAL      ISSUER     RATE  DATE  (000) 
$5,800,000   g  Midwest Connector Capital Co LLC      4.625%  04/01/29  $5,859 
 1,725,000      Mosaic Co      4.875   11/15/41   1,806 
 4,000,000      Newmont Corp      2.250   10/01/30   4,125 
 2,000,000   g  Nova Chemicals Corp      4.875   06/01/24   1,986 
 4,767,000      Nutrien Ltd      3.375   03/15/25   5,263 
 7,500,000      Nutrien Ltd      2.950   05/13/30   8,200 
EUR125,000   g  OCI NV      5.000   04/15/23   150 
$500,000   g  OCI NV      6.625   04/15/23   517 
EUR375,000   g  OCI NV      3.125   11/01/24   436 
$525,000   g  OCI NV      5.250   11/01/24   542 
 2,375,000   h  OCI NV      4.625   10/15/25   2,375 
EUR250,000   g  OI European Group BV      3.125   11/15/24   296 
$375,000   g  PolyOne Corp      5.750   05/15/25   397 
 350,000   g  POSCO      2.500   01/17/25   363 
 8,050,000      Praxair, Inc      1.100   08/10/30   7,794 
 2,250,000      Praxair, Inc      2.000   08/10/50   2,024 
 2,550,000   g  SABIC Capital II BV      4.000   10/10/23   2,741 
 1,300,000      SASOL Financing USA LLC      6.500   09/27/28   1,228 
 8,200,000      Sherwin-Williams Co      2.300   05/15/30   8,557 
EUR400,000      Silgan Holdings, Inc      3.250   03/15/25   474 
$1,925,000      Suzano Austria GmbH      6.000   01/15/29   2,195 
 725,000   g  Tronox, Inc      6.500   05/01/25   754 
 3,000,000      Vulcan Materials Co      3.500   06/01/30   3,357 
 9,300,000      WRKCo, Inc      4.900   03/15/29   11,469 
        TOTAL MATERIALS              157,567 
                         
MEDIA & ENTERTAINMENT - 2.7%                
 4,350,000      Activision Blizzard, Inc      3.400   09/15/26   4,953 
 3,700,000      Activision Blizzard, Inc      1.350   09/15/30   3,605 
 9,250,000      Alphabet, Inc      1.100   08/15/30   9,158 
 6,100,000      Alphabet, Inc      2.050   08/15/50   5,669 
EUR200,000   g  Ashland Services BV      2.000   01/30/28   223 
$3,000,000   g  Banco Nacional de Panama      2.500   08/11/30   2,969 
 1,775,000   g  Cable Onda S.A.      4.500   01/30/30   1,847 
 5,000,000   g  CCO Holdings LLC      4.250   02/01/31   5,180 
 8,000,000      Charter Communications Operating LLC      3.750   02/15/28   8,840 
 8,350,000      Charter Communications Operating LLC      4.200   03/15/28   9,481 
 5,000,000      Charter Communications Operating LLC      2.800   04/01/31   5,186 
 6,150,000      Charter Communications Operating LLC      5.125   07/01/49   7,116 
 21,620,000      Charter Communications Operating LLC      4.800   03/01/50   24,710 
 11,800,000      Comcast Corp      3.950   10/15/25   13,532 
 10,650,000      Comcast Corp      2.350   01/15/27   11,441 
 6,670,000      Comcast Corp      3.300   02/01/27   7,520 
EUR450,000      Comcast Corp      0.250   05/20/27   529 
$31,750,000      Comcast Corp      4.150   10/15/28   38,310 
 11,875,000      Comcast Corp      2.650   02/01/30   12,950 
 15,000,000      Comcast Corp      3.400   04/01/30   17,303 
 12,175,000      Comcast Corp      1.950   01/15/31   12,501 
 7,675,000      Comcast Corp      1.500   02/15/31   7,553 
 5,000,000      Comcast Corp      4.400   08/15/35   6,324 
 18,200,000      Comcast Corp      3.200   07/15/36   20,199 
 3,000,000      Comcast Corp      3.900   03/01/38   3,552 
 2,500,000      Comcast Corp      4.700   10/15/48   3,308 
 16,500,000      Comcast Corp      3.450   02/01/50   18,736 
333

COLLEGE RETIREMENT EQUITIES FUND - Bond Market Account

 

                 MATURITY  VALUE 
PRINCIPAL      ISSUER     RATE  DATE  (000) 
$11,650,000      Comcast Corp      2.800%  01/15/51  $11,674 
 7,700,000      Comcast Corp      2.450   08/15/52   7,198 
 1,500,000   g  CSC Holdings LLC      7.500   04/01/28   1,657 
 5,000,000   g  CSC Holdings LLC      3.375   02/15/31   4,841 
 2,099,000      Discovery Communications LLC      2.950   03/20/23   2,211 
GBP300,000      Discovery Communications LLC      2.500   09/20/24   401 
$6,850,000      Discovery Communications LLC      4.125   05/15/29   7,870 
 6,400,000      Discovery Communications LLC      5.200   09/20/47   7,673 
 3,000,000   h  DISH DBS Corp      7.375   07/01/28   3,090 
 2,000,000   g  Empresa de los Ferrocarriles del Estado      3.068   08/18/50   1,960 
 1,895,000      Grupo Televisa SAB      6.625   01/15/40   2,497 
 650,000   g  Lamar Media Corp      3.750   02/15/28   647 
 1,000,000   g  Lamar Media Corp      4.000   02/15/30   1,000 
 2,000,000   g  Medco Bell Pte Ltd      6.375   01/30/27   1,720 
 3,500,000   g  MEGlobal Canada ULC      5.000   05/18/25   3,776 
EUR400,000   g  Reckitt Benckiser Treasury Services Nederland BV      0.375   05/19/26   478 
$2,675,000   g  Sirius XM Radio, Inc      4.125   07/01/30   2,741 
 975,000   g  TEGNA, Inc      4.750   03/15/26   996 
 675,000   g  TEGNA, Inc      4.625   03/15/28   660 
 250,000   g  Tencent Holdings Ltd      3.975   04/11/29   284 
 5,675,000      Time Warner Cable LLC      5.875   11/15/40   7,060 
 4,075,000      Time Warner Cable LLC      4.500   09/15/42   4,419 
 11,200,000   g  Upjohn, Inc      2.700   06/22/30   11,588 
 2,425,000   g  Upjohn, Inc      3.850   06/22/40   2,611 
 4,200,000      ViacomCBS, Inc      2.900   01/15/27   4,525 
 2,500,000      ViacomCBS, Inc      3.375   02/15/28   2,755 
 2,250,000      ViacomCBS, Inc      4.375   03/15/43   2,385 
 1,150,000      ViacomCBS, Inc      5.850   09/01/43   1,441 
 2,105,000      Walt Disney Co      7.625   11/30/28   3,010 
 12,750,000      Walt Disney Co      2.000   09/01/29   13,175 
 1,578,000      Walt Disney Co      6.550   03/15/33   2,308 
 10,900,000      Walt Disney Co      3.600   01/13/51   12,274 
 2,700,000      Weibo Corp      3.375   07/08/30   2,742 
        TOTAL MEDIA & ENTERTAINMENT           396,362 
                         
PHARMACEUTICALS, BIOTECHNOLOGY & LIFE SCIENCES - 2.1%
EUR400,000      Abbott Ireland Financing DAC      1.500   09/27/26   507 
$3,500,000      AbbVie, Inc      2.850   05/14/23   3,682 
EUR550,000   g  AbbVie, Inc      1.250   06/01/24   668 
$8,700,000   g  AbbVie, Inc      3.800   03/15/25   9,654 
 26,000,000   g  AbbVie, Inc      2.950   11/21/26   28,323 
EUR350,000   g  AbbVie, Inc      2.625   11/15/28   478 
$22,275,000   g  AbbVie, Inc      3.200   11/21/29   24,492 
 12,850,000   g  AbbVie, Inc      4.050   11/21/39   14,676 
 6,700,000      AbbVie, Inc      4.400   11/06/42   7,961 
 2,680,000      AbbVie, Inc      4.450   05/14/46   3,185 
 9,525,000   g  AbbVie, Inc      4.250   11/21/49   11,250 
 5,650,000      AstraZeneca plc      3.125   06/12/27   6,265 
 325,000   g  Bausch Health Cos, Inc      5.000   01/30/28   316 
 2,900,000      Bristol-Myers Squibb Co      2.900   07/26/24   3,142 
 2,900,000      Bristol-Myers Squibb Co      3.875   08/15/25   3,310 
 13,600,000      Bristol-Myers Squibb Co      3.450   11/15/27   15,622 
 20,175,000      Bristol-Myers Squibb Co      3.400   07/26/29   23,441 
 16,500,000      Bristol-Myers Squibb Co      4.250   10/26/49   21,670 
334

COLLEGE RETIREMENT EQUITIES FUND - Bond Market Account

 

                 MATURITY  VALUE 
PRINCIPAL      ISSUER     RATE  DATE  (000) 
$10,000,000      Eli Lilly & Co      2.250%  05/15/50  $9,425 
 225,000   g  Emergent BioSolutions, Inc      3.875   08/15/28   226 
 3,725,000      Gilead Sciences, Inc      1.200   10/01/27   3,731 
 9,000,000      Gilead Sciences, Inc      1.650   10/01/30   8,982 
 1,775,000      Gilead Sciences, Inc      4.000   09/01/36   2,147 
 5,450,000      Gilead Sciences, Inc      2.800   10/01/50   5,376 
 125,000   g  Jaguar Holding Co II      4.625   06/15/25   129 
 100,000   g  Jaguar Holding Co II      5.000   06/15/28   104 
 5,650,000      Johnson & Johnson      2.450   03/01/26   6,169 
 3,950,000      Johnson & Johnson      2.900   01/15/28   4,440 
 3,750,000      Johnson & Johnson      3.400   01/15/38   4,382 
 19,100,000      Merck & Co, Inc      1.450   06/24/30   19,365 
 11,750,000      Merck & Co, Inc      2.450   06/24/50   11,687 
 5,750,000      Mylan, Inc      4.550   04/15/28   6,695 
 9,600,000      Novartis Capital Corp      3.000   11/20/25   10,678 
 5,200,000   g  Royalty Pharma plc      2.200   09/02/30   5,170 
EUR1,200,000      Takeda Pharmaceutical Co Ltd      1.125   11/21/22   1,438 
$17,650,000      Takeda Pharmaceutical Co Ltd      2.050   03/31/30   17,875 
EUR400,000      Takeda Pharmaceutical Co Ltd      3.000   11/21/30   562 
 400,000      Takeda Pharmaceutical Co Ltd      1.375   07/09/32   485 
$1,975,000      Takeda Pharmaceutical Co Ltd      3.025   07/09/40   2,040 
 3,000,000      Teva Pharmaceutical Finance Netherlands III BV   3.150   10/01/26   2,647 
 9,775,000      Thermo Fisher Scientific, Inc      4.133   03/25/25   11,137 
EUR300,000      Thermo Fisher Scientific, Inc      1.950   07/24/29   394 
 325,000      Thermo Fisher Scientific, Inc      2.875   07/24/37   483 
        TOTAL PHARMACEUTICALS, BIOTECHNOLOGY & LIFE SCIENCES   314,409 
                         
REAL ESTATE - 2.1%                
$1,675,000      Alexandria Real Estate Equities, Inc      3.950   01/15/27   1,905 
 2,300,000      Alexandria Real Estate Equities, Inc      3.950   01/15/28   2,646 
 5,500,000      Alexandria Real Estate Equities, Inc      4.900   12/15/30   6,919 
 3,725,000      Alexandria Real Estate Equities, Inc      1.875   02/01/33   3,635 
 5,950,000      American Tower Corp      3.000   06/15/23   6,301 
 5,775,000      American Tower Corp      2.950   01/15/25   6,238 
EUR600,000      American Tower Corp      1.950   05/22/26   762 
$2,418,000      American Tower Corp      3.375   10/15/26   2,677 
 10,000,000      American Tower Corp      2.750   01/15/27   10,782 
 1,600,000      American Tower Corp      3.600   01/15/28   1,794 
 8,850,000      American Tower Corp      3.800   08/15/29   10,130 
 13,700,000      American Tower Corp      2.900   01/15/30   14,787 
 9,925,000      American Tower Corp      1.875   10/15/30   9,775 
 5,575,000      Brandywine Operating Partnership LP      4.100   10/01/24   5,867 
 5,825,000      Brixmor Operating Partnership LP      3.850   02/01/25   6,236 
 1,950,000      Camden Property Trust      3.150   07/01/29   2,162 
 2,150,000      Camden Property Trust      2.800   05/15/30   2,337 
 1,700,000      Crown Castle International Corp      3.650   09/01/27   1,901 
 1,825,000      Crown Castle International Corp      3.800   02/15/28   2,066 
 19,725,000      Crown Castle International Corp      2.250   01/15/31   19,870 
 4,750,000      Crown Castle International Corp      3.250   01/15/51   4,712 
 3,075,000      Digital Realty Trust LP      3.700   08/15/27   3,459 
 1,600,000      Duke Realty LP      3.250   06/30/26   1,774 
 2,525,000      Duke Realty LP      4.000   09/15/28   2,944 
 3,125,000      Duke Realty LP      1.750   07/01/30   3,108 
 3,825,000      Equinix, Inc      2.150   07/15/30   3,872 
335

COLLEGE RETIREMENT EQUITIES FUND - Bond Market Account

 

                 MATURITY  VALUE 
PRINCIPAL      ISSUER     RATE  DATE  (000) 
$2,754,000      Essex Portfolio LP      3.375%  01/15/23  $2,885 
 9,100,000      Essex Portfolio LP      3.000   01/15/30   9,774 
 1,625,000      Healthcare Realty Trust, Inc      3.750   04/15/23   1,744 
 6,600,000      Healthcare Realty Trust, Inc      3.875   05/01/25   7,212 
 3,000,000      Healthcare Realty Trust, Inc      3.625   01/15/28   3,286 
 1,750,000      Healthcare Realty Trust, Inc      2.400   03/15/30   1,773 
 1,850,000   h  Healthcare Realty Trust, Inc      2.050   03/15/31   1,825 
 6,250,000      Healthcare Trust of America Holdings LP      3.500   08/01/26   6,956 
 11,400,000      Healthcare Trust of America Holdings LP      3.100   02/15/30   12,256 
 7,950,000      Highwoods Realty LP      3.875   03/01/27   8,620 
 2,900,000      Highwoods Realty LP      4.125   03/15/28   3,198 
 2,875,000      Highwoods Realty LP      4.200   04/15/29   3,226 
 6,000,000      Highwoods Realty LP      3.050   02/15/30   6,200 
 1,833,000      Hudson Pacific Properties LP      3.950   11/01/27   1,971 
 3,000,000      Hudson Pacific Properties LP      3.250   01/15/30   3,105 
 800,000      iStar, Inc      4.750   10/01/24   774 
 850,000      Life Storage LP      2.200   10/15/30   849 
 575,000   g  MGM Growth Properties Operating Partnership LP   4.625   06/15/25   586 
 5,224,000      Mid-America Apartments LP      4.300   10/15/23   5,707 
 5,525,000      Mid-America Apartments LP      3.750   06/15/24   6,007 
 4,300,000      Mid-America Apartments LP      4.000   11/15/25   4,853 
 7,734,000      Mid-America Apartments LP      3.600   06/01/27   8,615 
 11,100,000      Mid-America Apartments LP      2.750   03/15/30   11,959 
 5,400,000      Mid-America Apartments LP      1.700   02/15/31   5,313 
 5,425,000      National Retail Properties, Inc      3.300   04/15/23   5,709 
 2,575,000      National Retail Properties, Inc      4.000   11/15/25   2,853 
 3,000,000      National Retail Properties, Inc      3.600   12/15/26   3,242 
EUR360,000      ProLogis Euro Finance LLC      0.375   02/06/28   424 
 350,000      ProLogis LP      3.000   06/02/26   475 
$7,225,000      Regency Centers LP      3.900   11/01/25   7,876 
 4,750,000      Regency Centers LP      3.600   02/01/27   5,138 
 5,500,000      Regency Centers LP      2.950   09/15/29   5,694 
 5,700,000      Retail Properties of America, Inc      4.750   09/15/30   5,707 
 2,968,000      SITE Centers Corp      3.625   02/01/25   3,032 
 350,000      SITE Centers Corp      4.700   06/01/27   369 
 775,000   g  VICI Properties LP      3.500   02/15/25   767 
 1,170,000      Weingarten Realty Investors      3.375   10/15/22   1,199 
 4,800,000      Weingarten Realty Investors      3.500   04/15/23   4,954 
 3,025,000      Weingarten Realty Investors      4.450   01/15/24   3,226 
 3,950,000      Weingarten Realty Investors      3.850   06/01/25   4,143 
 1,300,000      Weingarten Realty Investors      3.250   08/15/26   1,346 
        TOTAL REAL ESTATE              313,507 
                         
RETAILING - 0.5%                
 2,950,000      AutoNation, Inc      3.800   11/15/27   3,224 
 6,525,000      AutoZone, Inc      1.650   01/15/31   6,412 
 925,000   g  Booz Allen Hamilton, Inc      3.875   09/01/28   950 
 100,000   g  Camelot Finance S.A.      4.500   11/01/26   102 
 600,000      CDW LLC      3.250   02/15/29   598 
 550,000   g  Group 1 Automotive, Inc      4.000   08/15/28   540 
 8,850,000      Home Depot, Inc      2.000   04/01/21   8,915 
 350,000      JD.com, Inc      3.375   01/14/30   379 
 525,000   g  L Brands, Inc      6.875   07/01/25   567 
 200,000   g  L Brands, Inc      9.375   07/01/25   230 
336

COLLEGE RETIREMENT EQUITIES FUND - Bond Market Account

 

          REFERENCE      MATURITY  VALUE 
PRINCIPAL      ISSUER  RATE & SPREAD  RATE  DATE  (000) 
$925,000   g  L Brands, Inc      6.625%  10/01/30  $941 
 875,000   g  Lithia Motors, Inc      4.625   12/15/27   903 
 1,950,000   g,h  Lithia Motors, Inc      4.375   01/15/31   1,950 
 151,000   g  Macy’s, Inc      8.375   06/15/25   156 
 5,100,000      O’Reilly Automotive, Inc      3.550   03/15/26   5,761 
 6,875,000      O’Reilly Automotive, Inc      3.600   09/01/27   7,817 
 4,075,000      O’Reilly Automotive, Inc      4.200   04/01/30   4,895 
 2,700,000      O’Reilly Automotive, Inc      1.750   03/15/31   2,667 
 1,500,000   g  PetSmart, Inc      5.875   06/01/25   1,535 
 900,000   g  PetSmart, Inc      8.875   06/01/25   934 
 2,775,000   g  Prosus NV      3.680   01/21/30   2,992 
 3,000,000   g  Staples, Inc      7.500   04/15/26   2,764 
 4,500,000      Target Corp      3.375   04/15/29   5,229 
 13,275,000      Target Corp      2.350   02/15/30   14,404 
 1,350,000      Target Corp      2.650   09/15/30   1,510 
        TOTAL RETAILING              76,375 
                         
SEMICONDUCTORS & SEMICONDUCTOR EQUIPMENT - 0.6%            
 12,025,000      Broadcom, Inc      4.150   11/15/30   13,500 
 15,640,000      Intel Corp      2.875   05/11/24   16,904 
 4,800,000      Intel Corp      2.600   05/19/26   5,280 
 7,325,000      Intel Corp      3.750   03/25/27   8,578 
 2,500,000      Intel Corp      3.734   12/08/47   2,979 
 2,875,000      Lam Research Corp      3.750   03/15/26   3,298 
 3,275,000      Lam Research Corp      4.000   03/15/29   3,922 
 1,100,000      Lam Research Corp      1.900   06/15/30   1,139 
 8,075,000      Lam Research Corp      2.875   06/15/50   8,340 
 5,250,000   g  NXP BV      4.875   03/01/24   5,903 
 5,725,000   g  NXP BV      3.875   06/18/26   6,414 
 2,450,000   g  NXP BV      3.400   05/01/30   2,680 
 3,475,000      Texas Instruments, Inc      2.625   05/15/24   3,731 
 2,500,000      Texas Instruments, Inc      2.250   09/04/29   2,680 
 3,100,000      Texas Instruments, Inc      4.150   05/15/48   4,045 
        TOTAL SEMICONDUCTORS & SEMICONDUCTOR EQUIPMENT   89,393 
                         
SOFTWARE & SERVICES - 1.1%                
 10,050,000      Adobe, Inc      2.300   02/01/30   10,838 
 2,800,000      Baidu, Inc      2.875   07/06/22   2,880 
 1,725,000      Baidu, Inc      4.375   05/14/24   1,890 
 275,000   g  Black Knight InfoServ LLC      3.625   09/01/28   278 
GBP150,000      Fidelity National Information Services, Inc      1.700   06/30/22   197 
EUR375,000      Fidelity National Information Services, Inc      1.100   07/15/24   455 
$3,750,000      Fidelity National Information Services, Inc      3.750   05/21/29   4,410 
 14,800,000      Fiserv, Inc      2.750   07/01/24   15,822 
 23,750,000      Fiserv, Inc      3.500   07/01/29   27,031 
 900,000   g  Gartner, Inc      3.750   10/01/30   910 
 4,725,000      Global Payments, Inc      2.650   02/15/25   5,014 
 10,275,000      Global Payments, Inc      3.200   08/15/29   11,208 
 20,825,000      International Business Machines Corp      1.950   05/15/30   21,437 
EUR400,000      International Business Machines Corp      0.650   02/11/32   469 
$26,300,000      Microsoft Corp      2.400   08/08/26   28,649 
 2,355,000      Microsoft Corp      4.100   02/06/37   3,055 
 5,850,000      Microsoft Corp      3.700   08/08/46   7,341 
337

COLLEGE RETIREMENT EQUITIES FUND - Bond Market Account

 

                 MATURITY  VALUE 
PRINCIPAL      ISSUER     RATE  DATE  (000) 
$1,395,000      Microsoft Corp       2.525%  06/01/50  $1,455 
 550,000   g  Open Text Holdings, Inc       4.125   02/15/30   566 
 175,000   g  Presidio Holdings, Inc       4.875   02/01/27   177 
 2,425,000      salesforce.com, Inc       3.700   04/11/28   2,858 
 7,075,000      Visa, Inc       2.050   04/15/30   7,561 
 1,800,000      Visa, Inc       2.700   04/15/40   1,943 
        TOTAL SOFTWARE & SERVICES           156,444 
                          
TECHNOLOGY HARDWARE & EQUIPMENT - 0.9%                 
 7,025,000      Amphenol Corp       2.800   02/15/30   7,685 
EUR675,000      Amphenol Technologies Holding GmbH       2.000   10/08/28   877 
$8,075,000      Apple, Inc       2.450   08/04/26   8,797 
 36,100,000      Apple, Inc       2.050   09/11/26   38,588 
EUR750,000      Apple, Inc       1.375   05/24/29   973 
$4,525,000      Apple, Inc       4.650   02/23/46   6,301 
 19,975,000      Broadcom Corp       3.875   01/15/27   22,150 
 19,750,000      Cisco Systems, Inc       1.850   09/20/21   20,023 
 2,075,000      Corning, Inc       4.375   11/15/57   2,527 
 3,290,000   g  Dell International LLC       4.420   06/15/21   3,368 
 7,050,000   g  Dell International LLC       5.300   10/01/29   8,076 
 3,645,000   g  Empresas Publicas de Medellin ESP       4.250   07/18/29   3,640 
 2,425,000   g  NCR Corp       5.000   10/01/28   2,422 
 6,669,000      Tyco Electronics Group S.A.       3.500   02/03/22   6,883 
 2,175,000      Tyco Electronics Group S.A.       3.700   02/15/26   2,441 
        TOTAL TECHNOLOGY HARDWARE & EQUIPMENT   134,751 
                          
TELECOMMUNICATION SERVICES - 2.8%                 
 4,936,000      AT&T, Inc       3.000   06/30/22   5,131 
 4,045,000      AT&T, Inc       2.950   07/15/26   4,417 
 7,500,000      AT&T, Inc       3.800   02/15/27   8,455 
 50,870,000      AT&T, Inc       4.350   03/01/29   59,709 
EUR500,000      AT&T, Inc       2.350   09/05/29   659 
$22,355,000      AT&T, Inc       4.300   02/15/30   26,467 
 9,000,000      AT&T, Inc       4.500   05/15/35   10,616 
 26,407,000      AT&T, Inc       4.500   03/09/48   30,148 
 14,730,000      AT&T, Inc       3.650   06/01/51   14,867 
 15,575,000      AT&T, Inc       3.300   02/01/52   14,493 
 12,870,000   g  AT&T, Inc       3.550   09/15/55   12,311 
 5,127,000   g  AT&T, Inc       3.650   09/15/59   4,951 
 1,875,000   g  Avaya, Inc       6.125   09/15/28   1,915 
 2,000,000   g  Bharti Airtel International Netherlands BV   5.350   05/20/24   2,156 
 2,000,000   g  Bharti Airtel Ltd       4.375   06/10/25   2,112 
 3,000,000   g  C&W Senior Financing Designated Activity Co   6.875   09/15/27   3,116 
 4,000,000      Deutsche Telekom International Finance BV       8.750   06/15/30   6,211 
 1,325,000   g  Front Range BidCo, Inc       4.000   03/01/27   1,304 
 4,000,000   g  MTN Mauritius Investment Ltd       6.500   10/13/26   4,438 
 698,000   o  Oi S.A.       10.000   07/27/25   675 
 3,950,000      Orange S.A.       5.375   01/13/42   5,550 
 3,800,000      Rogers Communications, Inc       3.700   11/15/49   4,243 
 1,525,000   g  Switch Ltd       3.750   09/15/28   1,540 
 2,125,000      Telefonica Emisiones SAU       4.103   03/08/27   2,416 
 32,175,000   g  T-Mobile USA, Inc       3.875   04/15/30   36,584 
 21,500,000   g  T-Mobile USA, Inc       2.550   02/15/31   22,276 
 2,525,000   g,h  T-Mobile USA, Inc       3.000   02/15/41   2,493 
338

COLLEGE RETIREMENT EQUITIES FUND - Bond Market Account

 

                 MATURITY  VALUE 
PRINCIPAL      ISSUER     RATE  DATE  (000) 
$2,350,000   g  T-Mobile USA, Inc       4.500%  04/15/50  $2,825 
 2,400,000   g  Turk Telekomunikasyon AS.       6.875   02/28/25   2,449 
 577,000      Verizon Communications, Inc       3.376   02/15/25   642 
EUR400,000      Verizon Communications, Inc       1.375   10/27/26   500 
$3,000,000      Verizon Communications, Inc       4.125   03/16/27   3,540 
 6,600,000      Verizon Communications, Inc       3.875   02/08/29   7,799 
EUR400,000      Verizon Communications, Inc       1.875   10/26/29   521 
$10,000,000      Verizon Communications, Inc       4.016   12/03/29   11,978 
 39,589,000      Verizon Communications, Inc       3.150   03/22/30   44,707 
 30,220,000      Verizon Communications, Inc       4.272   01/15/36   37,221 
EUR300,000      Verizon Communications, Inc       2.875   01/15/38   435 
$10,000,000      Verizon Communications, Inc       4.000   03/22/50   12,282 
 8,700,000      Vodafone Group plc       4.375   05/30/28   10,296 
 7,000,000      Vodafone Group plc       4.250   09/17/50   8,119 
        TOTAL TELECOMMUNICATION SERVICES          432,567 
                          
TRANSPORTATION - 0.9%                 
 4,850,000   g  Adani Ports & Special Economic Zone Ltd       4.000   07/30/27   4,823 
 2,000,000   g  Adani Ports & Special Economic Zone Ltd       4.200   08/04/27   2,007 
EUR400,000      Airbus SE       1.625   06/09/30   481 
$9,850,000      Boeing Co       2.950   02/01/30   9,526 
 3,352,000      Boeing Co       3.250   02/01/35   3,148 
 1,575,000      Boeing Co       3.750   02/01/50   1,441 
 5,175,000      Burlington Northern Santa Fe LLC       3.050   02/15/51   5,622 
 3,700,000      Canadian Pacific Railway Co       2.050   03/05/30   3,855 
 2,040,000      CSX Corp       2.600   11/01/26   2,223 
 7,125,000      CSX Corp       3.250   06/01/27   8,053 
 3,500,000      CSX Corp       3.800   03/01/28   4,082 
 23,495,000      CSX Corp       4.250   03/15/29   28,289 
 10,650,000      CSX Corp       2.400   02/15/30   11,402 
 9,250,000      Delta Air Lines, Inc       2.900   10/28/24   8,233 
 2,150,000   g  Delta Air Lines, Inc       7.000   05/01/25   2,360 
 1,275,000   g  Delta Air Lines, Inc       4.500   10/20/25   1,308 
 4,575,000      Delta Air Lines, Inc       3.750   10/28/29   3,900 
 1,450,000   g  DP World Ltd       5.625   09/25/48   1,653 
EUR400,000      FedEx Corp       1.000   01/11/23   478 
  325,000      FedEx Corp       1.625   01/11/27   408 
$22,172,000      FedEx Corp       3.100   08/05/29   24,616 
 1,600,000      Indian Railway Finance Corp Ltd       3.730   03/29/24   1,683 
 1,975,000   g  Indian Railway Finance Corp Ltd       3.249   02/13/30   1,978 
 1,350,000   g  Lima Metro Line 2 Finance Ltd       4.350   04/05/36   1,490 
 1,175,000   g  Mileage Plus Holdings LLC       6.500   06/20/27   1,223 
 225,000   g  Pelabuhan Indonesia III Persero PT       4.500   05/02/23   238 
 6,150,000      Union Pacific Corp       3.950   09/10/28   7,250 
 6,125,000      Union Pacific Corp       3.839   03/20/60   7,103 
        TOTAL TRANSPORTATION               148,873 
                          
UTILITIES - 3.6%                 
 1,965,125   g  Adani Transmission Ltd       4.250   05/21/36   1,952 
 1,650,000      AEP Transmission Co LLC       3.100   12/01/26   1,856 
 1,650,000      AEP Transmission Co LLC       4.000   12/01/46   1,998 
 3,475,000      Alabama Power Co       4.150   08/15/44   4,236 
 7,000,000      Alabama Power Co       3.450   10/01/49   7,950 
 2,500,000      Ameren Corp       3.500   01/15/31   2,856 
339

COLLEGE RETIREMENT EQUITIES FUND - Bond Market Account

 

                 MATURITY  VALUE 
PRINCIPAL      ISSUER     RATE  DATE  (000) 
$2,750,000      American Water Capital Corp       3.000%  12/01/26  $2,984 
 2,025,000      American Water Capital Corp       2.800   05/01/30   2,216 
 2,375,000      American Water Capital Corp       4.000   12/01/46   2,867 
 7,175,000      American Water Capital Corp       3.750   09/01/47   8,454 
 1,325,000      American Water Capital Corp       3.450   05/01/50   1,482 
 6,038,000      Appalachian Power Co       4.450   06/01/45   7,376 
 10,375,000   h  Atmos Energy Corp       1.500   01/15/31   10,327 
 1,175,000      Atmos Energy Corp       4.125   10/15/44   1,453 
 6,500,000      Baltimore Gas & Electric Co       3.750   08/15/47   7,643 
 5,500,000      Baltimore Gas & Electric Co       3.200   09/15/49   5,908 
 5,925,000      Berkshire Hathaway Energy Co       3.250   04/15/28   6,714 
 6,225,000      Black Hills Corp       4.250   11/30/23   6,829 
 1,575,000      Black Hills Corp       3.150   01/15/27   1,689 
 3,670,000      CenterPoint Energy Resources Corp       4.500   01/15/21   3,676 
 3,550,000      CenterPoint Energy Resources Corp       6.250   02/01/37   4,712 
EUR350,000      CEZ AS.       0.875   12/02/26   417 
$4,675,000      CMS Energy Corp       3.600   11/15/25   5,223 
 4,200,000      Commonwealth Edison Co       5.900   03/15/36   6,015 
 8,250,000      Commonwealth Edison Co       3.000   03/01/50   8,798 
 3,325,000      Consumers Energy Co       2.500   05/01/60   3,116 
 4,125,000      Dominion Energy Gas Holdings LLC       2.500   11/15/24   4,384 
 3,775,000      Dominion Resources, Inc       2.000   08/15/21   3,822 
 13,775,000      DTE Electric Co       2.250   03/01/30   14,662 
 3,250,000      DTE Electric Co       2.950   03/01/50   3,432 
 5,825,000      Duke Energy Corp       1.800   09/01/21   5,895 
 8,675,000      Duke Energy Corp       2.650   09/01/26   9,388 
 5,000,000      Duke Energy Florida LLC       3.400   10/01/46   5,603 
 1,438,452      Duke Energy Florida Project Finance LLC       1.731   09/01/22   1,409 
 11,425,000      Duke Energy Indiana LLC       2.750   04/01/50   11,675 
 1,450,000      Duke Energy Ohio, Inc       3.800   09/01/23   1,575 
EUR300,000      Electricite de France S.A.       2.000   10/02/30   396 
$3,000,000      Enel Chile S.A.       4.875   06/12/28   3,541 
 4,300,000   g  ENN Energy Holdings Ltd       2.625   09/17/30   4,297 
 5,700,000      Entergy Corp       2.950   09/01/26   6,293 
 3,000,000   g  Eskom Holdings SOC Ltd       5.750   01/26/21   2,926 
 2,050,000      Eversource Energy       0.800   08/15/25   2,039 
 7,000,000      Eversource Energy       3.450   01/15/50   7,791 
 2,475,000      Exelon Corp       4.050   04/15/30   2,895 
 9,450,000      Exelon Generation Co LLC       3.400   03/15/22   9,795 
 925,000      Florida Power & Light Co       2.850   04/01/25   1,014 
 5,775,000      Florida Power & Light Co       3.990   03/01/49   7,377 
 1,000,000   g  Grupo Energia Bogota S.A. ESP       4.875   05/15/30   1,117 
 3,600,000      Indiana Michigan Power Co       3.750   07/01/47   4,177 
 2,725,000      Integrys Energy Group, Inc       4.170   11/01/20   2,733 
 4,525,000   g  Israel Electric Corp Ltd       4.250   08/14/28   5,134 
 2,850,000   g  Kallpa Generacion SA       4.125   08/16/27   2,978 
 3,475,000   g  KazTransGas JSC       4.375   09/26/27   3,739 
 3,675,000   g  Korea Hydro & Nuclear Power Co Ltd       3.750   07/25/23   3,984 
EUR400,000      Medtronic Global Holdings S.C.A       0.375   10/15/28   471 
$6,975,000      MidAmerican Energy Co       3.650   04/15/29   8,305 
 6,150,000      MidAmerican Energy Co       3.650   08/01/48   7,246 
 3,000,000   g  Minejesa Capital BV       4.625   08/10/30   3,083 
 2,625,000   g  Narragansett Electric Co       3.395   04/09/30   2,991 
 7,350,000      Nevada Power Co       2.400   05/01/30   7,890 
340

COLLEGE RETIREMENT EQUITIES FUND - Bond Market Account

 

                 MATURITY  VALUE 
PRINCIPAL      ISSUER     RATE  DATE  (000) 
$3,335,000      Nevada Power Co      5.450%  05/15/41  $4,495 
 5,725,000      NextEra Energy Capital Holdings, Inc      2.750   11/01/29   6,174 
 17,000,000      NextEra Energy Capital Holdings, Inc      2.250   06/01/30   17,692 
 7,100,000      NiSource, Inc      3.490   05/15/27   7,909 
 10,840,000      NiSource, Inc      3.600   05/01/30   12,344 
 13,435,000      NiSource, Inc      1.700   02/15/31   13,189 
 3,600,000      Northern States Power Co      2.900   03/01/50   3,845 
 6,225,000      Northern States Power Co      2.600   06/01/51   6,303 
 1,675,000      NSTAR Electric Co      3.950   04/01/30   2,025 
EUR230,000      NTPC Ltd      2.750   02/01/27   270 
$3,600,000      Ohio Power Co      2.600   04/01/30   3,947 
 6,150,000      Ohio Power Co      4.150   04/01/48   7,641 
 6,150,000      Ohio Power Co      4.000   06/01/49   7,514 
 1,280,000      Oncor Electric Delivery Co LLC      5.250   09/30/40   1,757 
 3,500,000      ONE Gas, Inc      3.610   02/01/24   3,806 
 600,000   g  Pattern Energy Operations LP      4.500   08/15/28   623 
 2,775,000      PECO Energy Co      3.000   09/15/49   2,955 
 3,700,000      PECO Energy Co      2.800   06/15/50   3,828 
 1,500,000   g  Perusahaan Gas Negara Persero Tbk PT      5.125   05/16/24   1,636 
 3,000,000   g  Perusahaan Listrik Negara PT      4.125   05/15/27   3,233 
 650,000   g  Perusahaan Listrik Negara PT      3.875   07/17/29   692 
 3,000,000   g  Perusahaan Listrik Negara PT      3.375   02/05/30   3,094 
 200,000   g  Perusahaan Listrik Negara PT      4.875   07/17/49   220 
 750,000      Potomac Electric Power Co      7.900   12/15/38   1,133 
 4,300,000      PPL Capital Funding, Inc      3.950   03/15/24   4,721 
 2,000,000      PPL Electric Utilities Corp      3.000   09/15/21   2,038 
 2,925,000   g  Promigas S.A. ESP      3.750   10/16/29   2,867 
 9,725,000      PSEG Power LLC      3.850   06/01/23   10,462 
 1,900,000   g  PTTEP Treasury Center Co Ltd      2.587   06/10/27   1,959 
 3,000,000      Public Service Co of Colorado      4.050   09/15/49   3,787 
 4,450,000      Public Service Co of Colorado      3.200   03/01/50   5,050 
 7,970,000      Public Service Electric & Gas Co      3.150   01/01/50   8,995 
 7,775,000      Public Service Electric & Gas Co      2.700   05/01/50   8,098 
 5,450,000      Public Service Enterprise Group, Inc      0.800   08/15/25   5,413 
 20,000,000      Southern Co      4.000   01/15/51   20,055 
 8,475,000      Southern Co Gas Capital Corp      3.875   11/15/25   9,513 
 2,125,000      Southern Co Gas Capital Corp      4.400   06/01/43   2,522 
 2,000,000      Southern Co Gas Capital Corp      3.950   10/01/46   2,233 
 8,250,000      Southern Power Co      2.500   12/15/21   8,444 
 7,825,000      Southern Power Co      4.150   12/01/25   8,971 
 2,440,000      Southwestern Public Service Co      3.400   08/15/46   2,691 
 350,000   g  Tengizchevroil Finance Co International Ltd      2.625   08/15/25   351 
 3,680,000      Virginia Electric & Power Co      2.950   01/15/22   3,771 
 3,250,000      Virginia Electric & Power Co      2.950   11/15/26   3,616 
 3,250,000      Virginia Electric & Power Co      3.500   03/15/27   3,697 
 12,379,000      Virginia Electric & Power Co      3.800   04/01/28   14,545 
 4,125,000      Wisconsin Power & Light Co      4.100   10/15/44   4,813 
 2,975,000      Xcel Energy, Inc      3.350   12/01/26   3,351 
 2,890,000      Xcel Energy, Inc      4.800   09/15/41   3,611 
        TOTAL UTILITIES              544,703 
                         
        TOTAL CORPORATE BONDS              6,039,819 
        (Cost $5,631,205)                
341

COLLEGE RETIREMENT EQUITIES FUND - Bond Market Account

 

                 MATURITY  VALUE 
PRINCIPAL      ISSUER     RATE  DATE  (000) 
GOVERNMENT BONDS -  37.9%                 
                          
AGENCY SECURITIES - 1.0%                 
$2,480,094      AMAL Ltd       3.465%  08/21/21  $2,519 
 2,500,000      Amber Circle Funding Ltd       3.250   12/04/22   2,587 
 3,516,000      Canal Barge Co, Inc       4.500   11/12/34   4,084 
 7,742,813      DY9 Leasing LLC       2.372   03/19/27   8,163 
 2,942,286      Export Lease Ten Co LLC       1.650   05/07/25   3,015 
 809,194      Helios Leasing I LLC       2.018   05/29/24   829 
 8,759,746      Helios Leasing II LLC       2.668   03/18/25   9,194 
 9,819,177      HNA LLC       2.291   06/30/27   10,367 
 10,890,000      Lutheran Medical Center       1.982   02/20/30   11,328 
 2,408,609      MSN 41079 and 41084 Ltd       1.631   12/14/24   2,465 
 11,142,857      Overseas Private Investment Corp (OPIC)       3.520   09/20/32   13,018 
 2,254,516      Premier Aircraft Leasing       3.576   02/06/22   2,300 
 24,000,000   g  Private Export Funding Corp (PEFCO)       3.266   11/08/21   24,734 
 25,747,000      PEFCO       2.050   11/15/22   26,719 
 8,225,000      PEFCO       1.750   11/15/24   8,670 
 3,000,000   g  Reliance Industries Ltd       3.667   11/30/27   3,293 
 2,249,060      Santa Rosa Leasing LLC       1.693   08/15/24   2,298 
 11,415,000      UNM Sandoval Regional Medical Center       4.500   07/20/36   11,547 
 5,730,552      Windermere Aviation LLC       2.351   05/27/26   6,016 
        TOTAL AGENCY SECURITIES               153,146 
                          
FOREIGN GOVERNMENT BONDS - 5.1%                 
 4,000,000   g  Abu Dhabi Government International Bond       3.125   05/03/26   4,395 
 2,000,000   g  Abu Dhabi Government International Bond       2.500   09/30/29   2,137 
 5,400,000   g  Abu Dhabi Government International Bond       3.125   09/30/49   5,776 
 750,000   g  Abu Dhabi Government International Bond       2.700   09/02/70   726 
 3,325,000   g  Arab Petroleum Investments Corp       4.125   09/18/23   3,576 
 34,039      Argentine Republic Government International Bond   1.000   07/09/29   16 
 979,700      Argentine Republic Government International Bond (Step Bond)   0.125   07/09/30   409 
AUD400,000      Australia Government International Bond       2.250   05/21/28   321 
$3,000,000   g  Bahrain Government International Bond       5.450   09/16/32   2,850 
 3,000,000   g  Banque Ouest Africaine de Developpement       4.700   10/22/31   3,131 
 3,450,000   g  Bermuda Government International Bond       3.717   01/25/27   3,778 
 2,500,000   g  Bermuda Government International Bond       4.750   02/15/29   2,982 
 1,375,000   g  Bermuda Government International Bond       2.375   08/20/30   1,390 
 17,400,000   g  BNG Bank NV       3.000   09/20/23   18,757 
 3,120,000   g  Brazil Minas SPE via State of Minas Gerais       5.333   02/15/28   3,202 
 2,225,000      Brazilian Government International Bond       3.875   06/12/30   2,223 
 5,700,000      Brazilian Government International Bond       5.625   02/21/47   6,185 
EUR1,450,000     Bundesrepublik Deutschland Bundesanleihe       0.000   02/15/30   1,790 
$4,000,000   g  Caisse d’Amortissement de la Dette Sociale       1.875   02/12/22   4,085 
EUR400,000      Caisse d’Amortissement de la Dette Sociale       1.375   11/25/24   505 
CAD1,300,000   g  Canada Housing Trust No 1       2.550   12/15/23   1,043 
 1,550,000      Canadian Government International Bond       1.500   02/01/22   1,184 
 1,000,000      Canadian Government International Bond       5.000   06/01/37   1,236 
$3,050,000      Chile Government International Bond       2.550   01/27/32   3,218 
CNY9,700,000      China Government International Bond       2.940   10/17/24   1,425 
47,400,000      China Government International Bond       3.120   12/05/26   6,966 
 18,900,000      China Government International Bond       3.860   07/22/49   2,771 
 10,000,000      China Government International Bond       3.390   03/16/50   1,343 
NOK7,000,000      City of Oslo Norway       2.050   10/31/24   786 
342

COLLEGE RETIREMENT EQUITIES FUND - Bond Market Account

 

                 MATURITY  VALUE 
PRINCIPAL      ISSUER     RATE  DATE  (000) 
$7,650,000      Colombia Government International Bond       3.000%  01/30/30  $7,772 
 625,000      Colombia Government International Bond       3.125   04/15/31   641 
 2,100,000      Colombia Government International Bond       5.000   06/15/45   2,447 
 1,850,000   g  Corp Financiera de Desarrollo S.A.       2.400   09/28/27   1,866 
 4,100,000   g  Costa Rica Government International Bond       5.625   04/30/43   3,378 
 20,200,000   g  CPPIB Capital, Inc       2.250   01/25/22   20,724 
 16,400,000   g  CPPIB Capital, Inc       2.750   11/02/27   18,675 
CZK18,000,000      Czech Republic Government International Bond       0.450   10/25/23   784 
DKK5,800,000   g  Denmark Government International Bond       0.500   11/15/29   991 
DOP48,650,000   g  Dominican Republic Government International Bond       8.900   02/15/23   830 
 8,000,000   g  Dominican Republic Government International Bond       9.750   06/05/26   139 
$4,500,000   g  Dominican Republic Government International Bond       4.875   09/23/32   4,475 
 2,000,000   g  Dominican Republic Government International Bond       6.500   02/15/48   2,023 
 24,960   g  Ecuador Government International Bond       0.000   07/31/30   12 
 75,600   g  Ecuador Government International Bond (Step Bond)       0.500   07/31/30   51 
 198,120   g  Ecuador Government International Bond (Step Bond)       0.500   07/31/35   109 
 90,800   g  Ecuador Government International Bond (Step Bond)       0.500   07/31/40   45 
 1,725,000   g  Egypt Government International Bond       5.577   02/21/23   1,770 
 500,000   g  Egypt Government International Bond       4.550   11/20/23   499 
 425,000   g  Egypt Government International Bond       5.750   05/29/24   434 
EGP19,025,000      Egypt Government International Bond       15.900   07/02/24   1,255 
$325,000   g  Egypt Government International Bond       5.250   10/06/25   324 
 725,000   g  Egypt Government International Bond       7.600   03/01/29   743 
EUR1,100,000   g  Egypt Government International Bond       5.625   04/16/30   1,165 
 700,000   g  Egypt Government International Bond       6.375   04/11/31   761 
$2,700,000   g  Egypt Government International Bond       8.500   01/31/47   2,610 
 1,445,000   g  El Salvador Government International Bond       7.125   01/20/50   1,125 
 10,000,000      European Investment Bank       2.500   04/15/21   10,123 
 3,500,000      European Investment Bank       4.875   02/15/36   5,278 
 4,000,000   g  Export-Import Bank of India       3.875   02/01/28   4,195 
 2,800,000      Export-Import Bank of Korea       0.750   09/21/25   2,792 
 3,350,000      Export-Import Bank of Korea       1.250   09/21/30   3,297 
EUR3,000,000      French Republic Government Bond OAT       0.500   05/25/25   3,700 
2,650,000      French Republic Government Bond OAT       0.750   11/25/28   3,403 
 1,820,000      French Republic Government Bond OAT       1.250   05/25/34   2,521 
 1,200,000   g  French Republic Government Bond OAT       2.000   05/25/48   2,021 
 860,000   g  French Republic Government Bond OAT       0.750   05/25/52   1,100 
$2,325,000   g  Ghana Government International Bond       8.125   03/26/32   2,034 
 1,000,000   g  Ghana Government International Bond       8.627   06/16/49   840 
 3,600,000   g  Guatemala Government International Bond       4.500   05/03/26   3,857 
 450,000   g  Guatemala Government International Bond       4.375   06/05/27   481 
 200,000   g  Guatemala Government International Bond       5.375   04/24/32   229 
 600,000   g  Guatemala Government International Bond       6.125   06/01/50   716 
EUR2,725,000   g  Hellenic Republic Government International Bond       1.875   07/23/26   3,442 
 1,500,000   g  Hellenic Republic Government International Bond       3.875   03/12/29   2,183 
 1,650,000   g  Hellenic Republic Government International Bond       1.500   06/18/30   2,019 
$3,625,000   g  Honduras Government International Bond       6.250   01/19/27   3,966 
 350,000   g  Honduras Government International Bond       5.625   06/24/30   374 
CAD1,800,000      Hydro-Quebec       5.000   02/15/45   2,113 
IDR7,750,000,000      Indonesia Treasury Bond       8.125   05/15/24   563 
343

COLLEGE RETIREMENT EQUITIES FUND - Bond Market Account

 

                 MATURITY  VALUE 
PRINCIPAL      ISSUER     RATE  DATE  (000) 
IDR28,000,000,000      Indonesia Treasury Bond       7.000%  09/15/30  $1,888 
 19,350,000,000      Indonesia Treasury Bond       7.500   05/15/38   1,288 
AUD500,000      Inter-American Development Bank       4.750   08/27/24   417 
 900,000      Inter-American Development Bank       2.750   10/30/25   714 
 1,300,000      International Bank for Reconstruction & Development       2.800   01/13/21   938 
NZD941,000      International Bank for Reconstruction & Development       3.375   01/25/22   648 
AUD400,000      International Bank for Reconstruction & Development       2.200   02/27/24   303 
CAD1,300,000      International Bank for Reconstruction & Development       1.900   01/16/25   1,030 
$1,921,875   g  Iraq Government International Bond       5.800   01/15/28   1,713 
 6,200,000      Israel Government International Bond       3.250   01/17/28   7,064 
ILS3,100,000      Israel Government International Bond       5.500   01/31/42   1,576 
 3,200,000      Israel Government International Bond       3.750   03/31/47   1,338 
$4,375,000      Israel Government International Bond       4.125   01/17/48   5,535 
EUR1,250,000      Italy Buoni Poliennali Del Tesoro       0.050   04/15/21   1,469 
 3,500,000      Italy Buoni Poliennali Del Tesoro       2.450   10/01/23   4,408 
 3,345,000      Italy Buoni Poliennali Del Tesoro       1.250   12/01/26   4,116 
 1,225,000      Italy Buoni Poliennali Del Tesoro       2.950   09/01/38   1,791 
 1,550,000      Italy Buoni Poliennali Del Tesoro       3.850   09/01/49   2,690 
 1,000,000   g  Ivory Coast Government International Bond       5.875   10/17/31   1,059 
$1,909,000   g  Ivory Coast Government International Bond (Step Bond)       5.750   12/31/32   1,766 
 2,850,000      Jamaica Government International Bond       7.875   07/28/45   3,607 
 6,000,000      Japan Bank for International Cooperation       2.375   04/20/26   6,550 
 2,700,000   g  Japan Finance Organization for Municipalities       2.125   02/12/21   2,716 
 4,000,000   g  Japan Finance Organization for Municipalities       2.125   04/13/21   4,035 
 6,650,000   g  Japan Finance Organization for Municipalities       3.375   09/27/23   7,200 
JPY113,000,000      Japan Finance Organization for Municipalities       0.450   03/14/25   1,093 
$2,500,000   g  Japan Finance Organization for Municipalities       1.000   05/21/25   2,533 
JPY103,000,000      Japan Finance Organization for Municipalities       0.484   06/13/25   998 
 140,000,000      Japan Finance Organization for Municipalities       0.020   03/13/26   1,328 
 76,000,000      Japan Government Five Year Bond       0.100   06/20/23   725 
 440,000,000      Japan Government Ten Year Bond       0.100   09/20/26   4,222 
 369,000,000      Japan Government Ten Year Bond       0.100   12/20/26   3,543 
 122,000,000      Japan Government Ten Year Bond       0.100   06/20/29   1,169 
 162,000,000      Japan Government Ten Year Bond       0.100   12/20/29   1,550 
 350,000,000      Japan Government Thirty Year Bond       2.400   11/20/31   4,165 
 350,000,000      Japan Government Thirty Year Bond       2.300   05/20/32   4,154 
 418,000,000      Japan Government Thirty Year Bond       2.500   09/20/34   5,207 
 450,000,000      Japan Government Thirty Year Bond       0.500   09/20/46   4,231 
 530,000,000      Japan Government Twenty Year Bond       1.900   03/22/21   5,073 
 93,000,000      Japan Government Twenty Year Bond       0.600   12/20/36   923 
 219,000,000      Japan Government Twenty Year Bond       0.500   12/20/38   2,124 
 153,000,000      Japan Government Twenty Year Bond       0.300   06/20/39   1,428 
 379,000,000      Japan Government Two Year Bond       0.100   03/01/22   3,607 
$2,500,000   g  Jordan Government International Bond       4.950   07/07/25   2,490 
 1,000,000   g  Jordan Government International Bond       5.750   01/31/27   1,000 
 1,525,000   g  Kenya Government International Bond       6.875   06/24/24   1,549 
 2,350,000   g  Kenya Government International Bond       7.000   05/22/27   2,304 
344

COLLEGE RETIREMENT EQUITIES FUND - Bond Market Account

 

          REFERENCE      MATURITY  VALUE 
PRINCIPAL      ISSUER  RATE & SPREAD  RATE  DATE  (000) 
EUR1,875,000   g  Kingdom of Belgium Government International Bond      0.000%  10/22/27  $2,271 
 1,080,000      Kingdom of Belgium Government International Bond      1.250   04/22/33   1,491 
$1,925,000   g  Kommunalbanken AS.      1.375   10/26/20   1,926 
 3,750,000   g  Kommunalbanken AS.      1.625   02/10/21   3,768 
 5,000,000   g  Kommunalbanken AS.      2.250   01/25/22   5,130 
 2,600,000   g  Kommunalbanken AS.      2.750   02/05/24   2,805 
EUR500,000      Kommunalbanken AS.      0.625   04/20/26   617 
$3,000,000   g  Kommunalbanken AS.      1.125   06/14/30   3,041 
 4,500,000   g  Kommuninvest I Sverige AB      2.250   05/29/21   4,558 
 2,833,000   g  Kommuninvest I Sverige AB      2.625   09/15/22   2,961 
 1,200,000   i  Korea Development Bank  LIBOR 3 M + 0.550%   0.799   03/12/21   1,201 
 6,975,000   g  Korea Electric Power Corp      1.125   06/15/25   7,009 
 2,675,000   g  Korea Housing Finance Corp      2.000   10/11/21   2,711 
 5,775,000   g  Korea Housing Finance Corp      3.000   10/31/22   6,046 
KRW 4,630,000,000      Korea Treasury Bond      1.375   09/10/21   3,986 
 1,220,000,000      Korea Treasury Bond      1.875   03/10/22   1,060 
 1,270,000,000      Korea Treasury Bond      1.500   03/10/25   1,105 
 1,800,000,000      Korea Treasury Bond      1.500   12/10/26   1,561 
 2,380,000,000      Korea Treasury Bond      2.375   09/10/38   2,284 
$45,000,000      Kreditanstalt fuer Wiederaufbau      2.750   10/01/20   45,000 
 18,750,000      Kreditanstalt fuer Wiederaufbau      2.625   01/25/22   19,344 
 5,750,000   g  Kuwait Government International Bond      2.750   03/20/22   5,903 
 1,750,000   †,q  Lebanon Government International Bond      6.750   11/29/27   275 
 5,250,000   g  Lithuania Government International Bond      6.625   02/01/22   5,666 
MYR3,100,000      Malaysia Government International Bond      4.893   06/08/38   881 
MXN23,500,000      Mexican Bonos      5.750   03/05/26   1,088 
 14,300,000      Mexican Bonos      7.750   05/29/31   729 
$3,000,000      Mexico Government International Bond      4.150   03/28/27   3,333 
 6,250,000      Mexico Government International Bond      3.250   04/16/30   6,378 
 6,051,000      Mexico Government International Bond      6.050   01/11/40   7,566 
 3,000,000   g  Mongolia Government International Bond      5.125   12/05/22   3,059 
EUR900,000   g  Morocco Government International Bond      1.500   11/27/31   991 
$5,750,000   g  Morocco Government International Bond      5.500   12/11/42   7,136 
 3,075,000   g  Namibia Government International Bond      5.250   10/29/25   3,048 
 4,500,000   g  Nederlandse Waterschapsbank NV      2.125   11/15/21   4,593 
 5,000,000   g  Nederlandse Waterschapsbank NV      1.875   04/14/22   5,123 
 4,000,000   g  Nederlandse Waterschapsbank NV      3.125   12/05/22   4,243 
EUR400,000   g  Netherlands Government International Bond      2.750   01/15/47   823 
AUD500,000      New South Wales Treasury Corp      4.000   05/20/26   426 
NZD1,450,000      New Zealand Government International Bond      2.750   04/15/25   1,077 
 1,350,000      New Zealand Government International Bond      3.000   04/20/29   1,090 
$4,600,000   g  Nigeria Government International Bond      6.500   11/28/27   4,377 
EUR850,000   g  North Macedonia Government International Bond      3.675   06/03/26   1,067 
NOK36,880,000   g  Norway Government International Bond      1.375   08/19/30   4,239 
$1,500,000   g  Oman Government International Bond      6.000   08/01/29   1,381 
 21,300,000   g  OMERS Finance Trust      2.500   05/02/24   22,783 
 15,000,000   g  Ontario Teachers’ Finance Trust      1.625   09/12/24   15,606 
 4,000,000      Panama Government International Bond      4.300   04/29/53   4,915 
 6,455,000   g  Panama Notas del Tesoro      3.750   04/17/26   6,896 
 1,650,000   g  Paraguay Government International Bond      4.700   03/27/27   1,870 
 925,000   g  Paraguay Government International Bond      5.400   03/30/50   1,120 
 4,275,000   g  Perusahaan Penerbit SBSN Indonesia III      3.900   08/20/24   4,695 
345

COLLEGE RETIREMENT EQUITIES FUND - Bond Market Account

 

                 MATURITY  VALUE 
PRINCIPAL      ISSUER     RATE  DATE  (000) 
$9,350,000   g  Perusahaan Penerbit SBSN Indonesia III       4.400%  03/01/28  $10,676 
 4,475,000      Peruvian Government International Bond       4.125   08/25/27   5,219 
PEN14,725,000   g  Peruvian Government International Bond       5.400   08/12/34   4,273 
$364,584   g  Petroamazonas EP       4.625   12/06/21   324 
EUR900,000   g  Portugal Obrigacoes do Tesouro OT       0.700   10/15/27   1,108 
 1,525,000   g  Portugal Obrigacoes do Tesouro OT       1.950   06/15/29   2,069 
CAD650,000      Province of Quebec Canada       2.750   09/01/27   547 
$6,000,000      Province of Quebec Canada       7.500   09/15/29   9,201 
 2,000,000   †,g  Provincia de Mendoza Argentina       8.375   05/19/24   1,300 
 1,375,000   g  Qatar Government International Bond       3.400   04/16/25   1,507 
 2,050,000   g  Qatar Government International Bond       3.750   04/16/30   2,375 
 1,400,000   g  Republic of Belarus Government International Bond       7.625   06/29/27   1,363 
 1,000,000      Republic of Italy Government International Bond       2.375   10/17/24   1,040 
 8,000,000      Republic of Italy Government International Bond       4.000   10/17/49   8,580 
 2,000,000   g  Republic of Paraguay       6.100   08/11/44   2,579 
PLN3,555,000      Republic of Poland Government International Bond       2.500   04/25/24   992 
 6,825,000      Republic of Poland Government International Bond       3.250   07/25/25   1,987 
 2,825,000      Republic of Poland Government International Bond       2.750   10/25/29   824 
$2,475,000      Republic of South Africa Government International Bond       4.850   09/27/27   2,440 
 3,225,000   g  Republic of Uzbekistan Government International Bond       4.750   02/20/24   3,386 
 3,000,000   g  Romanian Government International Bond       3.000   02/14/31   3,079 
EUR600,000   g  Romanian Government International Bond       2.000   01/28/32   692 
RUB72,000,000      Russian Federal Bond-OFZ       4.500   07/16/25   897 
$500,000   g  Saudi Government International Bond       2.500   02/03/27   521 
 6,775,000   g  Saudi Government International Bond       4.500   04/17/30   8,097 
 3,500,000   g  Saudi Government International Bond       3.750   01/21/55   3,786 
EUR1,000,000      Senegal Government International Bond       4.750   03/13/28   1,131 
$2,000,000   g  Senegal Government International Bond       6.750   03/13/48   1,893 
EUR1,250,000   g  Serbia Government International Bond       1.500   06/26/29   1,411 
RSD96,000,000      Serbia Treasury Bonds       5.875   02/08/28   1,117 
 31,700,000      Serbia Treasury Bonds       4.500   08/20/32   334 
$4,000,000      South Africa Government International Bond       5.875   09/16/25   4,278 
ZAR12,200,000      South Africa Government International Bond       10.500   12/21/26   842 
 15,100,000      South Africa Government International Bond       8.750   01/31/44   695 
$3,850,000   g  Southern Gas Corridor CJSC       6.875   03/24/26   4,377 
EUR2,550,000   g  Spain Government International Bond       2.750   10/31/24   3,368 
 845,000      Spain Government International Bond       1.400   07/30/28   1,097 
 1,475,000   g  Spain Government International Bond       0.600   10/31/29   1,800 
 2,350,000   g  Spain Government International Bond       1.200   10/31/40   2,948 
$550,000   g  Sri Lanka Government International Bond       6.850   03/14/24   401 
 1,000,000   g  Sri Lanka Government International Bond       6.825   07/18/26   699 
 3,700,000      State of Israel       3.375   01/15/50   4,097 
 5,280,000      Svensk Exportkredit AB       1.625   11/14/22   5,423 
 9,590,000      Svensk Exportkredit AB       1.750   12/12/23   10,007 
THB48,800,000      Thailand Government International Bond       3.300   06/17/38   1,861 
UAH25,000,000      Ukraine Government International Bond       17.000   05/11/22   957 
EUR1,000,000   g  Ukraine Government International Bond       6.750   06/20/26   1,140 
 5,400,000   g  Ukraine Government International Bond       4.375   01/27/30   5,156 
GBP1,800,000      United Kingdom Gilt       0.500   07/22/22   2,345 
 3,050,000      United Kingdom Gilt       1.625   10/22/28   4,420 
 2,450,000      United Kingdom Gilt       4.750   12/07/30   4,601 
 2,450,000      United Kingdom Gilt       1.750   09/07/37   3,730 
346

COLLEGE RETIREMENT EQUITIES FUND - Bond Market Account

 

          REFERENCE      MATURITY  VALUE 
PRINCIPAL      ISSUER  RATE & SPREAD  RATE  DATE  (000) 
GBP900,000      United Kingdom Gilt      1.500%  07/22/47  $1,368 
 775,000      United Kingdom Gilt      1.625   10/22/54   1,263 
UYU21,800,000   g  Uruguay Government International Bond      8.500   03/15/28   531 
$4,357,410      Uruguay Government International Bond      4.375   01/23/31   5,180 
AUD2,735,000      Western Australian Treasury Corp      2.750   07/24/29   2,243 
        TOTAL FOREIGN GOVERNMENT BONDS       758,203 
                         
MORTGAGE BACKED - 21.1%                
$7,732,106      Federal Home Loan Mortgage Corp (FHLMC)      3.000   10/15/33   8,631 
 19,136,169      FHLMC      3.500   08/15/43   19,748 
 11,018,528      FHLMC      3.500   03/15/44   12,077 
 9,229,837   i  FHLMC  LIBOR 1 M + 5.920%   5.768   03/15/44   1,761 
 28,815,641      FHLMC      4.000   10/01/47   31,894 
 26,924,883      FHLMC      4.000   06/01/48   29,460 
 17,769,288   i  FHLMC  LIBOR 1 M + 9.920%   9.676   06/15/48   22,331 
 16,272,853      FHLMC      4.000   07/01/48   17,901 
 23,125,255      FHLMC      3.000   09/01/48   24,313 
 14,388,863   i  FHLMC  LIBOR 1 M + 9.840%   9.596   10/15/48   18,301 
 35,330,968      FHLMC      3.000   11/01/49   37,582 
 2,734      Federal Home Loan Mortgage Corp Gold (FGLMC)      7.000   05/01/23   3 
 18,376      FGLMC      8.000   01/01/31   19 
 4,849      FGLMC      7.000   01/01/32   5 
 415,766      FGLMC      4.500   07/01/33   458 
 2,885,056      FGLMC      7.000   12/01/33   3,377 
 782,035      FGLMC      4.500   10/01/34   862 
 547,827      FGLMC      4.500   04/01/35   604 
 784,536      FGLMC      7.000   05/01/35   910 
 2,375,379      FGLMC      5.000   06/01/36   2,733 
 874,966      FGLMC      5.000   07/01/39   1,008 
 117,109      FGLMC      4.500   12/01/43   131 
 76,457      FGLMC      4.500   02/01/44   85 
 2,974,857      FGLMC      4.500   10/01/44   3,322 
 1,112,359      FGLMC      4.500   11/01/44   1,242 
 1,852,636      FGLMC      4.500   11/01/44   2,068 
 781,448      FGLMC      4.500   12/01/44   859 
 1,177,907      FGLMC      4.500   12/01/44   1,315 
 5,368,302      FGLMC      3.500   04/01/45   5,935 
 816,764      FGLMC      4.500   05/01/45   876 
 25,949,603      FGLMC      3.500   08/01/45   28,877 
 43,652,284      FGLMC      3.500   10/01/45   48,151 
 25,533,255      FGLMC      4.000   12/01/45   28,375 
 66,363,407      FGLMC      3.500   08/01/46   73,127 
 90,407,560      FGLMC      3.000   01/01/47   95,217 
 72,039,484      FGLMC      3.000   02/01/47   75,560 
 2,551,759      FGLMC      4.500   06/01/47   2,848 
 5,188,800      FGLMC      4.000   09/01/47   5,687 
 5,110,032      FGLMC      3.500   12/01/47   5,599 
 26,018,191      FGLMC      3.500   03/01/48   28,447 
 28,985,327      FGLMC      4.000   03/01/48   32,261 
 14,175,313      FGLMC      4.000   07/01/48   15,597 
 21,407,951      FGLMC      4.500   08/01/48   23,674 
 10,044,886      FGLMC      4.500   10/01/48   11,214 
 13,700,262      FGLMC      3.500   11/01/48   15,104 
 26,688      Federal National Mortgage Association (FNMA)      8.000   07/01/24   29 
347

COLLEGE RETIREMENT EQUITIES FUND - Bond Market Account

 

          REFERENCE      MATURITY  VALUE 
PRINCIPAL      ISSUER  RATE & SPREAD  RATE  DATE  (000) 
$7,144      FNMA      9.000%  11/01/25  $8 
 4,832,196      FNMA      3.500   05/01/32   5,154 
 34,425,791      FNMA      3.000   10/01/32   36,118 
 24,000,000   h  FNMA      2.500   10/25/32   25,057 
 433,143      FNMA      4.500   10/01/33   478 
 757,704      FNMA      4.500   05/01/35   833 
 4,888,606      FNMA      5.000   05/01/35   5,619 
 2,217,570      FNMA      5.000   10/01/35   2,552 
 91,000,000   h  FNMA      2.000   10/25/35   94,555 
 1,863,925      FNMA      5.000   02/01/36   2,144 
 4,111,142      FNMA      5.500   11/01/38   4,775 
 3,646,246      FNMA      3.000   10/01/39   3,818 
 30,493,243      FNMA      3.000   05/01/40   32,003 
 4,238,302      FNMA      5.000   09/01/40   4,882 
 6,311,801      FNMA      5.000   05/01/41   7,272 
 22,213,080      FNMA      4.000   09/01/42   24,337 
 12,186,705      FNMA      3.500   04/01/43   13,439 
 5,683,812      FNMA      3.000   04/25/43   5,971 
 10,886,448      FNMA      3.500   09/01/43   12,005 
 11,103,479   i  FNMA  LIBOR 1 M + 5.950%   5.802   09/25/43   2,487 
 5,435,441      FNMA      4.000   01/01/44   6,052 
 8,965,172      FNMA      4.500   03/01/44   10,123 
 5,409,125      FNMA      4.500   06/01/44   6,043 
 5,606,324      FNMA      4.500   10/01/44   6,264 
 10,021,555      FNMA      4.500   11/01/44   11,183 
 3,374,986      FNMA      5.000   11/01/44   3,879 
 3,358,108      FNMA      4.500   12/01/44   3,752 
 4,323,951      FNMA      4.000   01/01/45   4,727 
 29,756,628      FNMA      3.000   02/25/45   31,181 
 6,236,016      FNMA      3.000   02/25/45   6,422 
 489,648      FNMA      3.500   03/01/45   541 
 361,534      FNMA      3.500   03/01/45   400 
 1,200,494      FNMA      4.500   03/01/45   1,341 
 8,622,571      FNMA      3.000   03/25/45   8,935 
 510,762      FNMA      4.500   04/01/45   571 
 25,161,434      FNMA      3.500   04/25/45   26,251 
 11,926,559      FNMA      3.500   05/01/45   13,268 
 6,335,589      FNMA      4.000   06/01/45   6,990 
 9,846,906      FNMA      4.000   12/01/45   10,957 
 46,846,924      FNMA      3.000   12/25/45   48,745 
 15,896,020      FNMA      3.500   01/01/46   17,530 
 28,651,935      FNMA      4.000   01/01/46   31,910 
 816,327      FNMA      4.000   03/01/46   900 
 14,272,607      FNMA      3.500   06/01/46   15,740 
 15,501,867      FNMA      3.500   07/01/46   17,096 
 27,249,896      FNMA      3.500   07/01/46   30,030 
 5,656,218      FNMA      3.000   10/01/46   5,828 
 16,171,782      FNMA      3.500   10/01/46   17,835 
 23,742,114      FNMA      3.000   11/01/46   24,957 
 29,724,429      FNMA      3.500   12/01/46   31,522 
 86,740,634      FNMA      3.500   01/01/47   91,832 
 6,643,659      FNMA      3.000   04/25/47   7,133 
 7,312,440      FNMA      4.500   05/01/47   8,199 
 2,625,447      FNMA      3.500   08/01/47   2,807 
348

COLLEGE RETIREMENT EQUITIES FUND - Bond Market Account

 

                 MATURITY  VALUE 
PRINCIPAL      ISSUER     RATE  DATE  (000) 
$2,870,841       FNMA       3.500%  09/01/47  $3,060 
 9,382,958       FNMA       4.000   09/01/47   10,064 
 530,528       FNMA       4.000   09/01/47   568 
 1,369,584       FNMA       3.000   11/01/47   1,412 
 3,775,949       FNMA       3.000   11/01/47   3,889 
 11,825,460       FNMA       3.500   11/01/47   13,067 
 40,525,170       FNMA       4.000   12/01/47   45,110 
 11,426,141       FNMA       4.000   12/01/47   12,242 
 26,794,833       FNMA       3.500   01/01/48   29,638 
 2,828,340       FNMA       3.500   01/01/48   3,111 
 12,335,787       FNMA       4.500   01/01/48   13,884 
 8,096,614       FNMA       3.500   02/01/48   8,567 
 10,472,400       FNMA       4.500   02/01/48   11,781 
 103,163,219       FNMA       3.000   02/25/48   109,649 
 11,122,482       FNMA       4.000   03/01/48   12,298 
 45,286,148       FNMA       4.500   03/01/48   50,843 
 39,166,474       FNMA       4.000   04/01/48   41,820 
 6,264,084       FNMA       4.500   05/01/48   6,991 
 8,421,139       FNMA       4.500   05/01/48   9,454 
 17,719,643       FNMA       5.000   08/01/48   20,086 
 12,813,644     FNMA       0.000   11/25/48   11,879 
 12,813,644       FNMA       3.000   11/25/48   1,428 
 5,342,325       FNMA       3.000   06/01/49   5,498 
 5,518,158       FNMA       3.000   08/01/49   6,006 
 197,000,000   h   FNMA       2.500   10/01/50   206,783 
 64,000,000   h   FNMA       2.000   10/25/50   66,160 
 65,000,000   h   FNMA       3.000   10/25/50   68,090 
 127,000,000   h   FNMA       2.000   11/25/50   130,972 
 161,000,000   h   FNMA       2.500   11/25/50   168,514 
 125,000,000       FNMA       3.000   11/25/50   130,972 
 12,727,822       Government National Mortgage Association (GNMA)   3.700   10/15/33   14,053 
 359,904       GNMA       5.000   04/15/38   404 
 375,529       GNMA       6.500   11/20/38   438 
 59,921       GNMA       4.500   02/20/39   69 
 1,444,363       GNMA       5.000   06/15/39   1,657 
 834,904       GNMA       5.000   06/15/39   958 
 10,693,344       GNMA       3.700   08/15/40   11,540 
 80,923       GNMA       4.500   08/20/41   91 
 276,250       GNMA       4.500   09/20/41   318 
 56,658       GNMA       4.500   01/20/44   65 
 50,067       GNMA       4.500   02/20/44   58 
 128,331       GNMA       4.500   05/20/44   148 
 810,074       GNMA       4.500   05/20/44   932 
 925,247       GNMA       4.500   08/20/44   1,066 
 597,586       GNMA       4.500   09/20/44   688 
 279,517       GNMA       4.500   10/20/44   309 
 141,321       GNMA       4.500   11/20/44   153 
 573,718       GNMA       4.500   12/20/44   661 
 743,226       GNMA       4.500   02/20/45   838 
 914,777       GNMA       4.500   08/20/45   1,055 
 921,643       GNMA       4.500   08/20/45   1,063 
 832,303       GNMA       4.500   12/20/45   959 
 10,790,837       GNMA       4.000   06/20/46   1,259 
349

COLLEGE RETIREMENT EQUITIES FUND - Bond Market Account

 

                 MATURITY  VALUE 
PRINCIPAL      ISSUER     RATE  DATE  (000) 
$164,000,000   h  GNMA      3.000%  10/20/46  $171,713 
 17,256,685      GNMA      3.500   01/20/49   18,905 
 69,000,000   h  GNMA      2.000   10/20/50   71,674 
 101,965,000   h  GNMA      2.500   10/20/50   106,665 
        TOTAL MORTGAGE BACKED              3,145,604 
                         
MUNICIPAL BONDS - 4.2%                
 14,595,000      Bay Area Toll Authority      3.552   04/01/54   15,650 
 2,975,000      Chicago Housing Authority      3.682   01/01/25   3,228 
 245,000      City & County of San Francisco CA Community Facilities District      3.264   09/01/25   264 
 1,000,000      City & County of San Francisco CA Community Facilities District      4.038   09/01/34   1,137 
 845,000      City & County of San Francisco CA Community Facilities District      3.750   09/01/37   913 
 2,000,000      City & County of San Francisco CA Community Facilities District      4.000   09/01/48   2,127 
 8,080,000      City of Austin TX Electric Utility Revenue      2.456   11/15/22   8,438 
 3,140,000      City of Austin TX Electric Utility Revenue      2.524   11/15/23   3,342 
 8,025,000      City of Austin TX Electric Utility Revenue      2.574   11/15/24   8,664 
 4,940,000      City of Austin TX Electric Utility Revenue      2.677   11/15/25   5,428 
 2,775,000      City of Dallas TX Waterworks & Sewer System Revenue      2.068   10/01/23   2,901 
 1,350,000      City of Dallas TX Waterworks & Sewer System Revenue      2.389   10/01/25   1,461 
 3,995,000      City of Los Angeles CA Wastewater System Revenue      4.029   06/01/39   4,514 
 7,470,000      City of New York NY      3.010   08/01/24   8,034 
 4,870,000      City of New York NY      3.430   12/01/24   5,348 
 4,940,000      City of New York NY      3.200   12/01/26   5,513 
 1,575,000      City of San Antonio TX Customer Facility Charge Revenue      4.353   07/01/25   1,696 
 4,055,000      Commonwealth Financing Authority      3.864   06/01/38   4,662 
 19,355,000      Commonwealth Financing Authority      3.807   06/01/41   22,003 
 1,875,000      County of Miami-Dade FL Aviation Revenue      1.885   10/01/21   1,882 
 1,505,000      County of Miami-Dade FL Aviation Revenue      2.218   10/01/22   1,524 
 1,500,000      County of Miami-Dade FL Aviation Revenue      2.368   10/01/23   1,530 
 2,500,000      County of Miami-Dade FL Aviation Revenue      3.285   10/01/23   2,617 
 3,500,000      County of Miami-Dade FL Aviation Revenue      2.504   10/01/24   3,597 
 2,250,000      County of Miami-Dade FL Aviation Revenue      3.405   10/01/24   2,390 
 4,365,000      County of Miami-Dade FL Aviation Revenue      2.604   10/01/25   4,514 
 2,375,000      County of Miami-Dade FL Aviation Revenue      3.505   10/01/25   2,557 
 2,500,000      County of Miami-Dade FL Aviation Revenue      2.704   10/01/26   2,600 
 3,940,000      County of Miami-Dade FL Aviation Revenue      3.049   10/01/26   4,147 
 3,750,000      County of Miami-Dade FL Aviation Revenue      3.612   10/01/26   4,092 
 4,700,000      County of Miami-Dade FL Aviation Revenue      2.529   10/01/30   4,709 
 3,730,000      County of Miami-Dade FL Aviation Revenue      3.732   10/01/37   3,934 
 3,900,000      County of Miami-Dade FL Aviation Revenue      3.982   10/01/41   4,124 
 9,160,000      County of Miami-Dade FL Aviation Revenue      4.280   10/01/41   9,878 
 2,000,000      Duke University      3.199   10/01/38   2,170 
 5,080,000      Illinois Finance Authority      3.944   08/15/47   6,029 
 1,000,000      Los Angeles County Redevelopment Agency      2.000   09/01/22   1,027 
 2,350,000      Los Angeles County Redevelopment Refunding Authority Redev Agency Successor Agy      1.500   09/01/21   2,371 
350

COLLEGE RETIREMENT EQUITIES FUND - Bond Market Account

 

                 MATURITY  VALUE 
PRINCIPAL      ISSUER     RATE  DATE  (000) 
$4,805,000      Los Angeles County Redevelopment Refunding Authority Redev Agency Successor Agy      3.375%  09/01/35  $5,058 
 2,000,000      Menlo Park City School District      2.969   07/01/38   2,118 
 2,560,000      Michigan Finance Authority      1.941   11/01/21   2,605 
 3,000,000      Michigan Finance Authority      2.244   11/01/22   3,112 
 10,000,000      Michigan Finance Authority      2.862   09/01/49   10,324 
 14,000,000      Michigan Finance Authority      2.988   09/01/49   15,026 
 500,000      New Jersey Economic Development Authority      3.700   06/15/21   508 
 1,110,000      New Jersey Economic Development Authority      3.800   07/01/22   1,136 
 870,000      New York City Housing Development Corp      3.403   05/01/22   903 
 750,000      New York City Housing Development Corp      3.453   11/01/22   788 
 1,360,000      New York City Housing Development Corp      3.523   05/01/23   1,446 
 1,815,000      New York City Housing Development Corp      3.573   11/01/23   1,953 
 1,000,000      New York City Housing Development Corp      3.650   05/01/24   1,088 
 5,680,000      New York State Dormitory Authority      3.998   07/01/39   6,330 
 10,605,000      New York State Dormitory Authority      4.294   07/01/44   11,815 
 6,000,000      New York State Dormitory Authority      3.879   07/01/46   6,518 
 5,000,000      New York State Thruway Authority      2.256   01/01/25   5,115 
 6,460,000      New York State Thruway Authority      2.406   01/01/26   6,629 
 4,750,000      New York State Thruway Authority      2.500   01/01/27   4,907 
 855,000      Oklahoma City Economic Development Trust      3.172   09/01/21   875 
 1,120,000      Oklahoma City Economic Development Trust      3.222   09/01/22   1,175 
 810,000      Oklahoma City Economic Development Trust      3.440   09/01/24   890 
 2,350,000      Oregon State Lottery      2.505   04/01/24   2,496 
 2,160,000      Permanent University Fund      2.408   07/01/21   2,195 
 2,750,000      Permanent University Fund      2.508   07/01/22   2,856 
 3,250,000      Permanent University Fund      2.708   07/01/24   3,511 
 2,335,000      Permanent University Fund      2.808   07/01/25   2,566 
 3,775,000      Permanent University Fund      2.908   07/01/26   4,208 
 4,000,000      Permanent University Fund      3.008   07/01/27   4,513 
 2,000,000      Port of Corpus Christi Authority of Nueces County      3.138   12/01/22   2,103 
 3,400,000      Port of Corpus Christi Authority of Nueces County      3.287   12/01/23   3,662 
 1,500,000      Port of Corpus Christi Authority of Nueces County      3.387   12/01/24   1,648 
 1,000,000      Port of Corpus Christi Authority of Nueces County      3.487   12/01/25   1,124 
 2,075,000      Port of Morrow OR      1.782   09/01/21   2,104 
 1,910,000      Public Finance Authority      4.269   07/01/40   2,263 
 1,000,000      Regents of the University of California Medical Center Pooled Revenue      2.037   05/15/23   1,034 
 1,000,000      Regents of the University of California Medical Center Pooled Revenue      2.259   05/15/24   1,052 
 1,250,000      Regents of the University of California Medical Center Pooled Revenue      2.359   05/15/25   1,333 
 1,785,000      Regents of the University of California Medical Center Pooled Revenue      2.459   05/15/26   1,923 
 1,600,000      Regents of the University of California Medical Center Pooled Revenue      2.559   05/15/27   1,739 
 700,000      Regents of the University of California Medical Center Pooled Revenue      2.659   05/15/28   769 
 900,000      Regents of the University of California Medical Center Pooled Revenue      2.759   05/15/29   999 
 6,000,000      San Francisco City & County Airport Comm-San Francisco International Airport      3.046   05/01/22   6,186 
 6,360,000      San Jose Redevelopment Agency      3.375   08/01/34   6,957 
351

COLLEGE RETIREMENT EQUITIES FUND - Bond Market Account

 

                 MATURITY  VALUE 
PRINCIPAL      ISSUER     RATE  DATE  (000) 
$335,000      Santa Ana Community Redevelopment Agency Successor Agency      3.346%  09/01/21  $344 
 1,340,000      Santa Ana Community Redevelopment Agency Successor Agency      3.467   09/01/22   1,419 
 1,340,000      Santa Ana Community Redevelopment Agency Successor Agency      3.567   09/01/23   1,463 
 13,060,000      State of California      4.600   04/01/38   15,555 
 3,215,000      State of Georgia      2.150   07/01/21   3,263 
 3,465,000      State of Georgia      1.910   02/01/23   3,600 
 4,100,000      State of Georgia      2.850   07/01/26   4,272 
 4,305,000      State of Georgia      2.950   07/01/27   4,478 
 4,520,000      State of Georgia      3.050   07/01/28   4,692 
 3,245,000      State of Georgia      3.150   07/01/29   3,374 
 12,500,000      State of Illinois      2.250   06/15/21   12,430 
 10,500,000      State of Illinois      3.150   06/15/26   10,283 
 12,500,000      State of Illinois      3.250   06/15/27   12,167 
 27,150,000      State of Illinois      5.100   06/01/33   27,438 
 20,000,000      State of Michigan      1.579   11/01/20   20,023 
 10,500,000      State of Michigan      1.779   11/01/21   10,672 
 7,000,000      State of Michigan      1.966   11/01/22   7,215 
 3,510,000      State of Oregon      1.783   05/01/24   3,670 
 9,700,000      State of Oregon Department of Administrative Services      4.103   05/01/39   10,927 
 9,900,000      State of Wisconsin      3.154   05/01/27   11,120 
 6,000,000      University of California      2.570   05/15/22   6,214 
 25,860,000      University of California      3.063   07/01/25   28,577 
 10,230,000      University of California      4.601   05/15/31   12,378 
 17,045,000      University of California      3.931   05/15/45   20,089 
 21,000,000      University of Chicago      4.151   10/01/45   21,733 
 7,620,000      University of Massachusetts Building Authority      3.097   11/01/35   8,126 
 13,000,000      University of Massachusetts Building Authority      3.434   11/01/40   13,948 
 20,000,000      University of New Mexico      3.532   06/20/32   21,897 
 500,000      Utah Municipal Power Agency      2.023   07/01/21   504 
 1,750,000      Utah Municipal Power Agency      2.262   07/01/22   1,790 
 1,500,000      Utah Municipal Power Agency      2.512   07/01/23   1,560 
 2,160,000      Virginia Port Authority      4.228   07/01/36   2,349 
 390,000      Washington Convention & Sports Authority      3.969   10/01/30   410 
        TOTAL MUNICIPAL BONDS              626,555 
                         
U.S. TREASURY SECURITIES - 6.5%                
 42,427,000      United States Treasury Bond      4.500   02/15/36   64,201 
 4,500,000      United States Treasury Bond      4.750   02/15/37   7,091 
 22,750,000      United States Treasury Bond      3.500   02/15/39   31,935 
 11,900,000      United States Treasury Bond      3.875   08/15/40   17,614 
 19,135,000      United States Treasury Bond      4.375   05/15/41   30,283 
 16,434,000      United States Treasury Bond      3.750   08/15/41   24,122 
 6,000,000      United States Treasury Bond      2.750   11/15/42   7,683 
 56,375,000      United States Treasury Bond      3.625   08/15/43   82,193 
 35,680,000      United States Treasury Bond      3.000   05/15/45   47,769 
 81,710,000      United States Treasury Bond      2.875   08/15/45   107,350 
 52,140,000      United States Treasury Bond      2.500   05/15/46   64,415 
 1,075,000      United States Treasury Bond      3.000   05/15/47   1,456 
 30,710,000      United States Treasury Bond      2.750   11/15/47   39,908 
 6,155,000      United States Treasury Bond      3.125   05/15/48   8,557 
 52,015,000      United States Treasury Bond      3.000   08/15/48   70,893 
 40,120,000      United States Treasury Bond      3.375   11/15/48   58,373 
352

COLLEGE RETIREMENT EQUITIES FUND - Bond Market Account

 

          REFERENCE      MATURITY  VALUE 
PRINCIPAL      ISSUER  RATE & SPREAD  RATE  DATE  (000) 
$31,431,096   k  United States Treasury Inflation Indexed Bonds      0.500%  04/15/24  $33,365 
 39,285,000      United States Treasury Note      0.125   08/31/22   39,274 
 14,105,000      United States Treasury Note      0.125   09/30/22   14,103 
 20,916,000      United States Treasury Note      0.125   09/15/23   20,896 
 48,875,000      United States Treasury Note      0.250   09/30/25   48,810 
 56,900,000      United States Treasury Note      0.375   07/31/27   56,589 
 48,020,000      United States Treasury Note      0.625   08/15/30   47,742 
 27,485,000      United States Treasury Note      1.250   05/15/50   26,046 
 12,475,000      United States Treasury Note      1.375   08/15/50   12,206 
        TOTAL U.S. TREASURY SECURITIES       962,874 
                         
        TOTAL GOVERNMENT BONDS        5,646,382 
        (Cost $5,300,130)                
                         
STRUCTURED ASSETS - 16.7%                
                         
ASSET BACKED - 7.5%                
 5,000,000   g,i  AGL CLO 7 Ltd  LIBOR 3 M + 1.800%   0.000   07/15/31   5,017 
        Series - 2020 7A (Class A1)                
 7,500,000   †,g,h,i  Aimco CLO 11 Ltd  LIBOR 3 M + 1.380%   0.000   10/15/31   7,500 
        Series - 2020 11A (Class A1)                
 2,000,000   g,i  Allegany Park CLO Ltd  LIBOR 3 M + 1.330%   1.602   01/20/33   1,992 
        Series - 2019 1A (Class A)                
 2,750,000      Ally Auto Receivables Trust      1.840   06/17/24   2,798 
        Series - 2019 4 (Class A3)                
 10,000,000      AmeriCredit Automobile Receivables Trust      1.110   08/19/24   10,105 
        Series - 2020 1 (Class A3)                
 5,500,000      AmeriCredit Automobile Receivables Trust      0.660   12/18/24   5,519 
        Series - 2020 2 (Class A3)                
 4,120,000      AmeriCredit Automobile Receivables Trust      2.130   03/18/26   4,173 
        Series - 2020 2 (Class D)                
 2,121,964   g  AMSR Trust      1.819   04/17/37   2,163 
        Series - 2020 SFR1 (Class A)                
 3,499,000   g,i  AMSR Trust      3.148   01/19/39   3,609 
        Series - 2019 SFR1 (Class C)                
 3,347,000   g,i  AMSR Trust      3.247   01/19/39   3,423 
        Series - 2019 SFR1 (Class D)                
 74,236   †,g  Asset Backed Funding Corp NIM Trust      5.900   07/26/35   0^ 
        Series - 2005 WMC1 (Class N1)                
 1,157,455   i  Asset Backed Securities Corp Home Equity Loan Trust  LIBOR 1 M + 0.900%   3.386   08/25/34   1,140 
        Series - 2004 HE5 (Class M1)                
 8,000,000   g  Avis Budget Rental Car Funding AESOP LLC      3.450   03/20/23   8,186 
        Series - 2019 1A (Class A)                
 12,000,000   g  Avis Budget Rental Car Funding AESOP LLC      3.070   09/20/23   12,283 
        Series - 2017 1A (Class A)                
 32,000,000   g  Avis Budget Rental Car Funding AESOP LLC      2.970   03/20/24   33,021 
        Series - 2017 2A (Class A)                
 17,600,000      BA Credit Card Trust      1.740   01/15/25   18,106 
        Series - 2019 A1 (Class A1)                
 4,745,000   i  Bayview Financial Mortgage Pass-Through Trust  LIBOR 1 M + 0.975%   1.120   02/28/41   4,703 
        Series - 2006 A (Class M3)                
353

COLLEGE RETIREMENT EQUITIES FUND - Bond Market Account

 

          REFERENCE      MATURITY  VALUE 
PRINCIPAL      ISSUER  RATE & SPREAD  RATE  DATE  (000) 
$5,901,861   i  Bear Stearns Asset Backed Securities Trust  LIBOR 1 M + 0.670%   0.818%  04/25/36  $5,861 
        Series - 2006 SD1 (Class M1)                
 3,917,212   g  BRE Grand Islander Timeshare Issuer LLC      3.280   09/26/33   4,017 
        Series - 2019 A (Class A)                
 7,558,204   g  Capital Automotive REIT      3.660   10/15/44   7,581 
        Series - 2014 1A (Class A)                
 6,570,258   g  Capital Automotive REIT      3.870   04/15/47   6,582 
        Series - 2017 1A (Class A1)                
 13,315,839   g  Capital Automotive REIT      2.690   02/15/50   13,483 
        Series - 2020 1A (Class A1)                
 7,550,000      CarMax Auto Owner Trust      1.890   12/16/24   7,749 
        Series - 2020 1 (Class A3)                
 27,000,000   g,i  Cayuga Park CLO, Ltd.  LIBOR 3 M + 1.600%   0.000   07/17/31   27,041 
        Series - 2020 1A (Class A)                
 1,515,673   i  C-BASS Trust  LIBOR 1 M + 0.080%   0.228   07/25/36   1,447 
        Series - 2006 CB6 (Class A1)                
 19,100,000   g  CF Hippolyta LLC      1.690   07/15/60   19,312 
        Series - 2020 1 (Class A1)                
 5,740,421   g  CF Hippolyta LLC      1.990   07/15/60   5,853 
        Series - 2020 1 (Class A2)                
 3,270,000   g  CF Hippolyta LLC      2.280   07/15/60   3,327 
        Series - 2020 1 (Class B1)                
 428,194   i  Chase Funding Mortgage Loan Asset-Backed Certificates      5.700   02/26/35   456 
        Series - 2004 2 (Class 1M2)                
 59,500,000      Chase Issuance Trust      1.530   01/15/25   61,195 
        Series - 2020 A1 (Class A1)                
 1,500,000   g,i  CIFC Funding Ltd  LIBOR 3 M + 1.220%   1.492   07/20/30   1,474 
        Series - 2017 3A (Class A1)                
 11,750,000   g,i  CIFC Funding Ltd  LIBOR 3 M + 1.650%   1.932   08/24/32   11,788 
        Series - 2020 2A (Class A1)                
 223,816      CIT Group Home Equity Loan Trust (Step Bond)      6.200   02/25/30   229 
        Series - 2002 1 (Class AF6)                
 1,000,000   i  Citibank Credit Card Issuance Trust  LIBOR 1 M + 0.330%   0.486   01/20/25   1,002 
        Series - 2018 A2 (Class A2)                
 650,000   i  Citigroup Mortgage Loan Trust  LIBOR 1 M + 0.750%   0.898   01/25/36   645 
        Series - 2006 WFH1 (Class M4)                
 9,895,149   g  Corevest American Finance Trust      1.832   03/15/50   9,882 
        Series - 2020 1 (Class A1)                
 20,606,625   g  DB Master Finance LLC      3.629   11/20/47   21,221 
        Series - 2017 1A (Class A2I)                
 4,752,000   g  DB Master Finance LLC      3.787   05/20/49   4,898 
        Series - 2019 1A (Class A2I)                
 8,226,900   g  DB Master Finance LLC      4.021   05/20/49   8,727 
        Series - 2019 1A (Class A2II)                
 3,443,874   g  Diamond Resorts Owner Trust      3.700   01/21/31   3,573 
        Series - 2018 1 (Class A)                
 9,082,025   g  Diamond Resorts Owner Trust      2.890   02/20/32   9,361 
        Series - 2019 1A (Class A)                
 2,000,000   i  Discover Card Execution Note Trust  LIBOR 1 M + 0.360%   0.512   10/15/22   2,005 
        Series - 2017 A7 (Class A7)                
 38,972,938   g  Domino’s Pizza Master Issuer LLC      3.082   07/25/47   39,052 
        Series - 2017 1A (Class A2II)                
354

COLLEGE RETIREMENT EQUITIES FUND - Bond Market Account

 

          REFERENCE      MATURITY  VALUE 
PRINCIPAL      ISSUER  RATE & SPREAD  RATE  DATE  (000) 
$5,920,000   g,i  Dryden 50 Senior Loan Fund  LIBOR 3 M + 1.220%   1.495%  07/15/30  $5,873 
        Series - 2017 50A (Class A1)                
 2,695,251   g,i  Ellington Loan Acquisition Trust  LIBOR 1 M + 1.100%   1.248   05/25/37   2,689 
        Series - 2007 2 (Class A2C)                
 6,000,000   g  Ford Credit Auto Owner Trust      2.620   08/15/28   6,183 
        Series - 2017 1 (Class A)                
 17,050,000   g  Ford Credit Auto Owner Trust      2.360   03/15/29   17,659 
        Series - 2017 2 (Class A)                
 12,000,000      Ford Credit Floorplan Master Owner Trust      2.230   09/15/24   12,403 
        Series - 2019 3 (Class A1)                
 750,000   g,i  FREMF Mortgage Trust      4.158   03/25/49   830 
        Series - 2016 K53 (Class B)                
 9,750,000      GM Financial Automobile Leasing Trust      1.670   12/20/22   9,897 
        Series - 2020 1 (Class A3)                
 10,100,000      GM Financial Consumer Automobile Receivables Trust      1.840   09/16/24   10,345 
        Series - 2020 1 (Class A3)                
 4,000,000   g  GSCG Trust      2.936   09/06/34   4,074 
        Series - 2019 600C (Class A)                
 501,978   g  HERO Funding Trust      3.280   09/20/48   519 
        Series - 2017 2A (Class A1)                
 1,004,367   g  HERO Funding Trust      4.070   09/20/48   1,061 
        Series - 2017 2A (Class A2)                
 2,052,516   g  Hertz Vehicle Financing II LP      3.710   03/25/23   2,056 
        Series - 2019 1A (Class A)                
 6,048,905   g  Hertz Vehicle Financing II LP      3.290   02/25/24   6,065 
        Series - 2018 1A (Class A)                
 1,953,419   g  Hertz Vehicle Financing II LP      3.420   05/25/25   1,959 
        Series - 2019 2A (Class A)                
 3,904,793   g  Hertz Vehicle Financing LLC      4.030   07/25/24   3,930 
        Series - 2018 3A (Class A)                
 3,980,407   g  Hilton Grand Vacations Trust      2.660   12/26/28   4,063 
        Series - 2017 AA (Class A)                
 3,433,101   g  Hilton Grand Vacations Trust      2.960   12/26/28   3,453 
        Series - 2017 AA (Class B)                
 7,927,834   g  Hilton Grand Vacations Trust      2.340   07/25/33   8,112 
        Series - 2019 AA (Class A)                
 745,806   i  Home Equity Asset Trust  LIBOR 1 M + 1.500%   3.986   06/25/33   745 
        Series - 2003 1 (Class M1)                
 11,035,000      Honda Auto Receivables Owner Trust      1.830   01/18/24   11,285 
        Series - 2019 4 (Class A3)                
 4,837,711   g  Horizon Aircraft Finance III Ltd      3.425   11/15/39   4,435 
        Series - 2019 2 (Class A)                
 400,000   g,i  Invitation Homes Trust  LIBOR 1 M + 1.450%   1.602   06/17/37   399 
        Series - 2018 SFR2 (Class D)                
 2,297,023   g,i  Invitation Homes Trust  LIBOR 1 M + 1.000%   1.151   07/17/37   2,297 
        Series - 2018 SFR3 (Class A)                
 6,038,240   g,i  Invitation Homes Trust  LIBOR 1 M + 1.100%   1.251   01/17/38   6,038 
        Series - 2018 SFR4 (Class A)                
 2,700,000   g,i  Invitation Homes Trust  LIBOR 1 M + 1.650%   1.801   01/17/38   2,700 
        Series - 2018 SFR4 (Class D)                
 5,926,665   g  JG Wentworth XXII LLC      3.820   12/15/48   6,217 
        Series - 2010 3A (Class A)                
355

COLLEGE RETIREMENT EQUITIES FUND - Bond Market Account

 

          REFERENCE      MATURITY  VALUE 
PRINCIPAL      ISSUER  RATE & SPREAD  RATE  DATE  (000) 
$4,807,683   i  JP Morgan Mortgage Acquisition Trust  LIBOR 1 M + 0.320%   0.468%  03/25/37  $4,716 
        Series - 2007 CH3 (Class A1B)                
 17,652,277   i  JP Morgan Mortgage Acquisition Trust  LIBOR 1 M + 0.160%   0.308   06/25/37   17,251 
        Series - 2007 CH5 (Class A1)                
 5,700,000   g  Laurel Road Prime Student Loan Trust      0.720   11/25/50   5,700 
        Series - 2020 A (Class A1FX)                
 1,000,000   g,i  Madison Park Funding X Ltd  LIBOR 3 M + 1.800%   2.072   01/20/29   997 
        Series - 2012 10A (Class BR2)                
 530,000   g,i  Magnetite XVIII Ltd  LIBOR 3 M + 1.500%   0.000   11/15/28   522 
        Series - 2016 18A (Class BR)                
 1,564,770   g  MVW Owner Trust      2.520   12/20/32   1,572 
        Series - 2015 1A (Class A)                
 3,425,266   g  MVW Owner Trust      2.420   12/20/34   3,492 
        Series - 2017 1A (Class A)                
 3,907,626   g  MVW Owner Trust      3.450   01/21/36   4,048 
        Series - 2018 1A (Class A)                
 4,452,355   g  MVW Owner Trust      2.890   11/20/36   4,577 
        Series - 2019 1A (Class A)                
 13,520,368   g  MVW Owner Trust      2.220   10/20/38   13,802 
        Series - 2019 2A (Class A)                
 4,400,000   g  Navient Student Loan Trust      3.390   12/15/59   4,546 
        Series - 2019 BA (Class A2A)                
 19,500,000   g,i  Octagon Investment Partners 46 Ltd  LIBOR 3 M + 1.650%   0.000   07/15/33   19,453 
        Series - 2020 2A (Class A)                
 9,500,000   †,g,h,i  OHA Credit Funding 7 Ltd  LIBOR 3 M + 1.250%   1.000   10/19/32   9,500 
        Series - 2020 7A (Class A)                
 17,005,000   g  OneMain Financial Issuance Trust      3.840   05/14/32   17,884 
        Series - 2020 1A (Class A)                
 17,350,000   g  OneMain Financial Issuance Trust      1.750   09/14/35   17,476 
        Series - 2020 2A (Class A)                
 1,158,838   g  Orange Lake Timeshare Trust      3.100   11/08/30   1,194 
        Series - 2018 A (Class A)                
 6,250,000   g  PFS Financing Corp      0.930   08/15/24   6,254 
        Series - 2020 F (Class A)                
 20,500,000   g  PFS Financing Corp      1.270   06/15/25   20,661 
        Series - 2020 A (Class A)                
 9,000,000   g  PFS Financing Corp      1.000   10/15/25   9,032 
        Series - 2020 E (Class A)                
 2,247,035   g  Pretium Mortgage Credit Partners I LLC (Step Bond)      3.844   12/27/58   2,251 
        Series - 2019 NPL2 (Class A1)                
 4,491,640   g  Progress Residential Trust      2.897   12/17/34   4,506 
        Series - 2017 SFR2 (Class A)                
 2,809,000   g  Progress Residential Trust      2.937   10/17/36   2,893 
        Series - 2019 SFR4 (Class B)                
 4,159,185   g  PRPM LLC (Step Bond)      3.967   04/25/24   4,194 
        Series - 2019 2A (Class A1)                
 2,790,000   i  RASC Trust  LIBOR 1 M + 0.590%   3.080   08/25/35   2,781 
        Series - 2005 KS8 (Class M4)                
 12,653   i  Renaissance Home Equity Loan Trust  LIBOR 1 M + 0.880%   1.028   08/25/33   12 
        Series - 2003 2 (Class A)                
 15,420,000      Santander Drive Auto Receivables Trust      2.220   09/15/26   15,743 
        Series - 2020 2 (Class D)                
356

COLLEGE RETIREMENT EQUITIES FUND - Bond Market Account

 

                 MATURITY  VALUE 
PRINCIPAL      ISSUER     RATE  DATE  (000) 
$1,396,674   g  Sierra Timeshare Receivables Funding LLC      2.580%  09/20/32  $1,398 
        Series - 2015 3A (Class A)                
 1,684,696   g  Sierra Timeshare Receivables Funding LLC      3.080   09/20/32   1,684 
        Series - 2015 3A (Class B)                
 804,199   g  Sierra Timeshare Receivables Funding LLC      3.080   03/21/33   805 
        Series - 2016 1A (Class A)                
 2,634,072   g  Sierra Timeshare Receivables Funding LLC      2.330   07/20/33   2,647 
        Series - 2016 2A (Class A)                
 419,438   g  Sierra Timeshare Receivables Funding LLC      2.780   07/20/33   420 
        Series - 2016 2A (Class B)                
 2,034,151   g  Sierra Timeshare Receivables Funding LLC      2.430   10/20/33   2,049 
        Series - 2016 3A (Class A)                
 1,205,423   g  Sierra Timeshare Receivables Funding LLC      2.630   10/20/33   1,208 
        Series - 2016 3A (Class B)                
 6,543,135   g  Sierra Timeshare Receivables Funding LLC      2.910   03/20/34   6,654 
        Series - 2017 1A (Class A)                
 3,016,327   g  Sierra Timeshare Receivables Funding LLC      3.200   03/20/34   3,038 
        Series - 2017 1A (Class B)                
 3,533,671   g  Sierra Timeshare Receivables Funding LLC      3.500   06/20/35   3,673 
        Series - 2018 2A (Class A)                
 4,074,720   g  Sierra Timeshare Receivables Funding LLC      3.200   01/20/36   4,215 
        Series - 2019 1A (Class A)                
 6,339,462   g  Sierra Timeshare Receivables Funding LLC      2.590   05/20/36   6,513 
        Series - 2019 2A (Class A)                
 3,876,032   g  Sierra Timeshare Receivables Funding LLC      2.340   08/20/36   3,964 
        Series - 2019 3A (Class A)                
 1,382,494   g  SMB Private Education Loan Trust      2.490   06/15/27   1,398 
        Series - 2015 A (Class A2A)                
 3,110,435   g  SMB Private Education Loan Trust      2.750   07/15/27   3,156 
        Series - 2015 C (Class A2A)                
 7,001,735   g  SMB Private Education Loan Trust      2.430   02/17/32   7,166 
        Series - 2016 B (Class A2A)                
 10,437,961   g  SMB Private Education Loan Trust      2.880   09/15/34   10,803 
        Series - 2017 A (Class A2A)                
 10,991,440   g  SMB Private Education Loan Trust      2.820   10/15/35   11,360 
        Series - 2017 B (Class A2A)                
 4,719,964   g  SMB Private Education Loan Trust      3.500   02/15/36   5,001 
        Series - 2018 A (Class A2A)                
 6,743,404   g  SoFi Professional Loan Program LLC      2.340   04/25/33   6,863 
        Series - 2016 D (Class A2B)                
 5,336,376   g  SoFi Professional Loan Program LLC      2.490   01/25/36   5,409 
        Series - 2016 E (Class A2B)                
 1,195,094   g  SoFi Professional Loan Program LLC      2.760   12/26/36   1,210 
        Series - 2016 A (Class A2)                
 2,518,099   g  SoFi Professional Loan Program LLC      2.400   03/26/40   2,547 
        Series - 2017 A (Class A2B)                
 6,862,126   g  SoFi Professional Loan Program LLC      2.740   05/25/40   6,973 
        Series - 2017 B (Class A2FX)                
 2,410,517   g  SoFi Professional Loan Program LLC      2.630   07/25/40   2,459 
        Series - 2017 C (Class A2B)                
 9,350,544   g  SoFi Professional Loan Program LLC      2.720   11/26/40   9,505 
        Series - 2017 E (Class A2B)                
 11,026,380   g  SoFi Professional Loan Program LLC      2.840   01/25/41   11,331 
        Series - 2017 F (Class A2FX)                
357

COLLEGE RETIREMENT EQUITIES FUND - Bond Market Account

 

          REFERENCE      MATURITY  VALUE 
PRINCIPAL      ISSUER  RATE & SPREAD  RATE  DATE  (000) 
$21,000,000   g  SoFi Professional Loan Program LLC      2.950%  02/25/42  $21,687 
        Series - 2018 A (Class A2B)                
 15,806,852   g  SoFi Professional Loan Program LLC      2.060   05/15/46   15,958 
        Series - 2020 A (Class A1FX)                
 5,500,000   g  SoFi Professional Loan Program LLC      3.690   06/15/48   5,815 
        Series - 2019 A (Class A2FX)                
 10,000,000   g  SpringCastle America Funding LLC      1.970   09/25/37   10,034 
        Series - 2020 AA (Class A)                
 9,000,000   g  Stack Infrastructure Issuer LLC      1.893   08/25/45   9,059 
        Series - 2020 1A (Class A2)                
 2,650,891   g,i  Starwood Waypoint Homes  LIBOR 1 M + 0.950%   1.102   01/17/35   2,648 
        Series - 2017 1 (Class A)                
 180,592   i  Structured Asset Investment Loan Trust  LIBOR 1 M + 0.900%   1.048   09/25/34   175 
        Series - 2004 8 (Class M1)                
 930,137   i  Structured Asset Investment Loan Trust  LIBOR 1 M + 1.000%   1.148   09/25/34   920 
        Series - 2004 8 (Class A9)                
 9,000,000      Synchrony Credit Card Master Note Trust      2.620   10/15/25   9,364 
        Series - 2017 2 (Class A)                
 1,838,250   g  Taco Bell Funding LLC      4.970   05/25/46   1,980 
        Series - 2016 1A (Class A23)                
 16,800,750   g  Taco Bell Funding LLC      4.318   11/25/48   17,155 
        Series - 2018 1A (Class A2I)                
 10,500,000   g  Tesla Auto Lease Trust      2.160   10/20/22   10,761 
        Series - 2019 A (Class A3)                
 7,800,000   g  Tesla Auto Lease Trust      0.680   12/20/23   7,836 
        Series - 2020 A (Class A3)                
 2,300,000   g  Tesla Auto Lease Trust      0.780   12/20/23   2,314 
        Series - 2020 A (Class A4)                
 2,995,700   g  TLF National Tax Lien Trust      3.090   12/15/29   3,015 
        Series - 2017 1A (Class A)                
 5,675,000      Toyota Auto Receivables Owner Trust      1.910   09/15/23   5,781 
        Series - 2019 C (Class A3)                
 16,800,000      Toyota Auto Receivables Owner Trust      1.660   05/15/24   17,165 
        Series - 2020 A (Class A3)                
 7,580,000   g  Tricon American Homes Trust      4.878   11/17/33   7,572 
        Series - 2016 SFR1 (Class E)                
 946,674   g  Tricon American Homes Trust      2.716   09/17/34   963 
        Series - 2017 SFR1 (Class A)                
 4,400,000   g  Tricon American Homes Trust      4.011   09/17/34   4,460 
        Series - 2017 SFR1 (Class E)                
 3,917,392   g  Tricon American Homes Trust      2.928   01/17/36   4,056 
        Series - 2017 SFR2 (Class A)                
 1,050,000   g  Tricon American Homes Trust      3.275   01/17/36   1,086 
        Series - 2017 SFR2 (Class B)                
 45,800,000      Verizon Owner Trust      1.850   07/22/24   46,970 
        Series - 2020 A (Class A1A)                
 4,234,971   g  VOLT LXXV LLC (Step Bond)      3.967   02/25/49   4,238 
        Series - 2019 NPL2 (Class A1)                
 1,642,000   g  VOLT LXXV LLC (Step Bond)      3.967   10/25/49   1,626 
        Series - 2019 NPL7 (Class A1B)                
 6,600,000   g  VOLT LXXXIV LLC (Step Bond)      3.967   12/27/49   6,517 
        Series - 2019 NP10 (Class A1B)                
 31,606,250   g  Wendys Funding LLC      3.573   03/15/48   32,668 
        Series - 2018 1A (Class A2I)                
358

COLLEGE RETIREMENT EQUITIES FUND - Bond Market Account

 

          REFERENCE      MATURITY  VALUE 
PRINCIPAL      ISSUER  RATE & SPREAD  RATE  DATE  (000) 
$15,800,000      World Omni Auto Receivables Trust      1.700%  01/17/23  $16,123 
        Series - 2020 A (Class A3)                
        TOTAL ASSET BACKED              1,123,238 
                         
OTHER MORTGAGE BACKED - 9.2%                
 3,000,000   g,i  20 Times Square Trust      3.203   05/15/35   2,976 
        Series - 2018 20TS (Class B)                
 12,000,000   g,i  20 TSQ GROUNDCO LLC      3.203   05/15/35   11,180 
        Series - 2018 20TS (Class E)                
 1,590,249   g,i  Agate Bay Mortgage Trust      3.500   11/25/44   1,647 
        Series - 2014 3 (Class A13)                
 5,465,184   g,i  Agate Bay Mortgage Trust      3.500   09/25/45   5,669 
        Series - 2015 6 (Class A9)                
 1,015,895   i  Alternative Loan Trust  LIBOR 1 M + 0.500%   0.648   06/25/34   1,007 
        Series - 2004 8CB (Class M1)                
 1,240,000   i  Ameriquest Mortgage Securities  LIBOR 1 M + 1.020%   1.168   10/25/34   1,227 
        Series - 2004 R9 (Class M3)                
 2,500,000   i  BANK      4.207   11/15/50   2,518 
        Series - 2017 BNK8 (Class C)                
 4,000,000      BANK      3.203   12/15/52   4,431 
        Series - 2019 BN23 (Class AS)                
 2,000,000      BANK      2.758   09/15/62   2,197 
        Series - 2019 BN20 (Class A2)                
 8,000,000      BANK      3.283   11/15/62   8,885 
        Series - 2019 BN24 (Class AS)                
 3,850,000   g  BBCMS Mortgage Trust      3.821   09/05/32   3,776 
        Series - 2013 TYSN (Class C)                
 1,500,000   g,i  BBCMS Mortgage Trust      4.409   08/05/38   1,027 
        Series - 2018 CHRS (Class E)                
 5,000,000      BBCMS Mortgage Trust      3.488   02/15/50   5,485 
        Series - 2017 C1 (Class ASB)                
 861,118   i  Bear Stearns Commercial Mortgage Securities Trust      5.117   02/11/41   855 
        Series - 2005 PWR7 (Class B)                
 2,000,000   g,i  Benchmark Mortgage Trust      2.791   09/15/48   2,136 
        Series - 2020 IG2 (Class AM)                
 2,500,000   g,i  Benchmark Mortgage Trust      3.229   09/15/48   2,737 
        Series - 2020 IG3 (Class AS)                
 2,500,000   g,i  Benchmark Mortgage Trust      3.654   09/15/48   2,626 
        Series - 2020 IG3 (Class BXA)                
 1,000,000   i  Benchmark Mortgage Trust      3.882   02/15/51   1,166 
        Series - 2018 B2 (Class A5)                
 1,445,000      Benchmark Mortgage Trust      4.232   01/15/52   1,735 
        Series - 2018 B8 (Class A5)                
 1,500,000      Benchmark Mortgage Trust      3.419   08/15/52   1,678 
        Series - 2019 B12 (Class AS)                
 830,000      Benchmark Mortgage Trust      4.241   05/15/53   977 
        Series - 2018 B7 (Class A3)                
 5,921,744   i  Benchmark Mortgage Trust      4.510   05/15/53   7,228 
        Series - 2018 B7 (Class A4)                
 2,500,000      Benchmark Mortgage Trust      3.231   12/15/72   2,764 
        Series - 2019 B15 (Class AS)                
 2,500,000   g  BWAY Mortgage Trust      3.342   01/10/35   2,442 
        Series - 2015 1740 (Class C)                
359

COLLEGE RETIREMENT EQUITIES FUND - Bond Market Account

 

          REFERENCE      MATURITY  VALUE 
PRINCIPAL      ISSUER  RATE & SPREAD  RATE  DATE  (000) 
$1,898,596   g,i  BX Commercial Mortgage Trust  LIBOR 1 M + 0.920%   1.072%  10/15/36  $1,898 
        Series - 2019 XL (Class A)                
 7,698,000   i  CCUBS Commercial Mortgage Trust      3.462   11/15/50   8,542 
        Series - 2017 C1 (Class ASB)                
 5,167,000      CD Mortgage Trust      2.622   08/10/49   5,459 
        Series - 2016 CD1 (Class ASB)                
 9,000,000      CD Mortgage Trust      2.926   08/10/49   9,447 
        Series - 2016 CD1 (Class AM)                
 5,750,000   i  CD Mortgage Trust      3.879   11/10/49   6,238 
        Series - 2016 CD2 (Class B)                
 1,000,000   i  CD Mortgage Trust      4.158   11/10/49   972 
        Series - 2016 CD2 (Class C)                
 1,000,000      CD Mortgage Trust      3.453   02/10/50   1,089 
        Series - 2017 CD3 (Class AAB)                
 500,000   i  CD Mortgage Trust      4.711   02/10/50   499 
        Series - 2017 CD3 (Class C)                
 5,000,000      CD Mortgage Trust      3.220   08/15/50   5,462 
        Series - 2017 CD5 (Class AAB)                
 3,457,000      CD Mortgage Trust      2.812   08/15/57   3,822 
        Series - 2019 CD8 (Class ASB)                
 1,000,000   g,i  CFCRE Commercial Mortgage Trust      6.292   04/15/44   1,015 
        Series - 2011 C1 (Class C)                
 937,145      CFCRE Commercial Mortgage Trust      3.121   05/10/58   990 
        Series - 2016 C4 (Class AHR)                
 1,530,382   i  CHL Mortgage Pass-Through Trust      3.597   02/20/35   1,521 
        Series - 2004 HYB9 (Class 1A1)                
 2,500,000   g,i  Citigroup Commercial Mortgage Trust      3.635   05/10/35   2,566 
        Series - 2013 375P (Class B)                
 5,750,000   g  Citigroup Commercial Mortgage Trust      3.341   05/10/36   6,118 
        Series - 2019 PRM (Class A)                
 917,000   i  Citigroup Commercial Mortgage Trust      3.732   04/10/46   956 
        Series - 2013 GC11 (Class B)                
 2,400,000      Citigroup Commercial Mortgage Trust      4.023   03/10/47   2,610 
        Series - 2014 GC19 (Class A4)                
 3,377,522      Citigroup Commercial Mortgage Trust      3.371   10/10/47   3,536 
        Series - 2014 GC25 (Class AAB)                
 1,700,000   i  Citigroup Commercial Mortgage Trust      3.758   04/10/48   1,793 
        Series - 2015 GC29 (Class B)                
 3,000,000   i  Citigroup Commercial Mortgage Trust      4.296   04/10/48   2,964 
        Series - 2015 GC29 (Class C)                
 540,263      Citigroup Commercial Mortgage Trust      1.506   05/10/49   541 
        Series - 2016 C1 (Class A1)                
 5,300,000      Citigroup Commercial Mortgage Trust      3.243   08/15/50   5,799 
        Series - 2017 B1 (Class AAB)                
 6,765,000      Citigroup Commercial Mortgage Trust      3.764   10/12/50   7,619 
        Series - 2017 C4 (Class AS)                
 2,000,000      Citigroup Commercial Mortgage Trust      3.778   09/10/58   2,238 
        Series - 2015 GC33 (Class A4)                
 2,247,000   g  COMM Mortgage Trust      3.086   08/10/29   2,257 
        Series - 2016 GCT (Class B)                
 5,000,000   g  COMM Mortgage Trust      3.244   10/10/29   5,280 
        Series - 2017 PANW (Class A)                
 2,000,000   i  COMM Mortgage Trust      4.362   07/10/45   2,144 
        Series - 2013 CR9 (Class A4)                
360

COLLEGE RETIREMENT EQUITIES FUND - Bond Market Account

 

                 MATURITY  VALUE 
PRINCIPAL      ISSUER     RATE  DATE  (000) 
$3,727,236      COMM Mortgage Trust      2.853%  10/15/45  $3,839 
        Series - 2012 CR4 (Class A3)                
 1,140,000   g  COMM Mortgage Trust      3.147   03/10/46   1,180 
        Series - 2013 CR6 (Class AM)                
 3,359,721   g,i  COMM Mortgage Trust      4.083   06/10/46   3,498 
        Series - 2013 CR8 (Class B)                
 2,000,000   g,i  COMM Mortgage Trust      4.949   08/10/46   2,120 
        Series - 2013 CR10 (Class B)                
 4,780,000   g,i  COMM Mortgage Trust      4.949   08/10/46   4,781 
        Series - 2013 CR10 (Class C)                
 500,000   g,i  COMM Mortgage Trust      5.463   08/10/46   409 
        Series - 2013 LC13 (Class D)                
 3,000,000      COMM Mortgage Trust      4.199   03/10/47   3,264 
        Series - 2014 UBS2 (Class AM)                
 750,000      COMM Mortgage Trust      4.174   05/10/47   816 
        Series - 2014 CR17 (Class AM)                
 1,843,000   i  COMM Mortgage Trust      4.882   07/15/47   1,789 
        Series - 2014 CR18 (Class C)                
 1,500,000   i  COMM Mortgage Trust      4.868   08/10/47   1,537 
        Series - 2014 CR19 (Class C)                
 9,131,817      COMM Mortgage Trust      3.917   10/10/47   10,015 
        Series - 2014 LC17 (Class A5)                
 5,000,000   i  COMM Mortgage Trust      4.188   10/10/47   5,489 
        Series - 2014 LC17 (Class AM)                
 1,300,000   i  COMM Mortgage Trust      4.490   10/10/47   1,382 
        Series - 2014 LC17 (Class B)                
 800,979   i  COMM Mortgage Trust      3.829   02/10/48   859 
        Series - 2015 LC19 (Class B)                
 1,000,000   g  COMM Mortgage Trust      3.000   03/10/48   645 
        Series - 2015 CR22 (Class E)                
 1,445,000      COMM Mortgage Trust      3.309   03/10/48   1,576 
        Series - 2015 CR22 (Class A5)                
 3,382,775   i  COMM Mortgage Trust      3.603   03/10/48   3,681 
        Series - 2015 CR22 (Class AM)                
 1,805,000   i  COMM Mortgage Trust      4.244   03/10/48   1,830 
        Series - 2015 CR22 (Class C)                
 7,150,000      COMM Mortgage Trust      3.801   05/10/48   7,858 
        Series - 2015 CR23 (Class AM)                
 4,000,000   i  COMM Mortgage Trust      4.183   05/10/48   4,327 
        Series - 2015 CR23 (Class B)                
 2,549,000   i  COMM Mortgage Trust      4.435   05/10/48   2,566 
        Series - 2015 CR23 (Class C)                
 4,659,779      COMM Mortgage Trust      3.421   07/10/48   4,918 
        Series - 2015 LC21 (Class ASB)                
 1,500,000   i  COMM Mortgage Trust      3.463   08/10/48   1,254 
        Series - 2015 CR24 (Class D)                
 2,550,000      COMM Mortgage Trust      3.696   08/10/48   2,853 
        Series - 2015 CR24 (Class A5)                
 5,000,000   i  COMM Mortgage Trust      4.028   08/10/48   5,529 
        Series - 2015 CR24 (Class AM)                
 1,467,000   i  COMM Mortgage Trust      4.524   08/10/48   1,468 
        Series - 2015 CR24 (Class C)                
 3,185,000   i  COMM Mortgage Trust      4.524   08/10/48   3,435 
        Series - 2015 CR24 (Class B)                
361

COLLEGE RETIREMENT EQUITIES FUND - Bond Market Account

 

          REFERENCE      MATURITY  VALUE 
PRINCIPAL      ISSUER  RATE & SPREAD  RATE  DATE  (000) 
$1,352,000      COMM Mortgage Trust      3.612%  10/10/48  $1,506 
        Series - 2015 CR27 (Class A4)                
 3,212,210      COMM Mortgage Trust      3.630   10/10/48   3,587 
        Series - 2015 CR26 (Class A4)                
 1,575,000      COMM Mortgage Trust      3.774   10/10/48   1,768 
        Series - 2015 LC23 (Class A4)                
 6,962,000   i  COMM Mortgage Trust      4.491   10/10/48   7,610 
        Series - 2015 CR27 (Class B)                
 1,375,000   i  COMM Mortgage Trust      4.630   10/10/48   1,485 
        Series - 2015 CR26 (Class B)                
 1,049,603      COMM Mortgage Trust      3.651   02/10/49   1,122 
        Series - 2016 CR28 (Class AHR)                
 4,650,000   i  COMM Mortgage Trust      4.794   02/10/49   5,029 
        Series - 2016 CR28 (Class B)                
 1,500,000   i  COMM Mortgage Trust      5.278   08/10/50   1,588 
        Series - 2013 CR11 (Class B)                
 6,500,000      COMM Mortgage Trust      3.263   08/15/57   7,233 
        Series - 2019 GC44 (Class AM)                
 20,537,991   i  Connecticut Avenue Securities  LIBOR 1 M + 2.600%   2.748   05/25/24   17,977 
        Series - 2014 C02 (Class 1M2)                
 756,837   i  Connecticut Avenue Securities  LIBOR 1 M + 2.900%   3.048   07/25/24   744 
        Series - 2014 C03 (Class 2M2)                
 12,167,710   i  Connecticut Avenue Securities  LIBOR 1 M + 3.000%   3.148   07/25/24   10,632 
        Series - 2014 C03 (Class 1M2)                
 1,711,999   i  Connecticut Avenue Securities  LIBOR 1 M + 5.000%   5.148   11/25/24   1,750 
        Series - 2014 C04 (Class 2M2)                
 807,971   i  Connecticut Avenue Securities  LIBOR 1 M + 5.550%   5.698   04/25/28   829 
        Series - 2015 C04 (Class 2M2)                
 1,341,047   i  Connecticut Avenue Securities  LIBOR 1 M + 5.700%   5.848   04/25/28   1,388 
        Series - 2015 C04 (Class 1M2)                
 4,160,411   i  Connecticut Avenue Securities  LIBOR 1 M + 6.750%   6.898   08/25/28   4,317 
        Series - 2016 C01 (Class 1M2)                
 4,147,802   i  Connecticut Avenue Securities  LIBOR 1 M + 6.000%   6.148   09/25/28   4,389 
        Series - 2016 C02 (Class 1M2)                
 2,716,962   i  Connecticut Avenue Securities  LIBOR 1 M + 5.900%   6.048   10/25/28   2,870 
        Series - 2016 C03 (Class 2M2)                
 2,932,089   i  Connecticut Avenue Securities  LIBOR 1 M + 4.450%   4.598   01/25/29   3,025 
        Series - 2016 C05 (Class 2M2)                
 2,255,147   i  Connecticut Avenue Securities  LIBOR 1 M + 4.250%   4.398   04/25/29   2,306 
        Series - 2016 C06 (Class 1M2)                
 3,054,069   i  Connecticut Avenue Securities  LIBOR 1 M + 0.850%   0.998   09/25/29   2,809 
        Series - 2017 C02 (Class 2ED4)                
 1,494,175   i  Connecticut Avenue Securities  LIBOR 1 M + 2.200%   2.348   01/25/30   1,502 
        Series - 2017 C05 (Class 1M2A)                
 6,857,490   i  Connecticut Avenue Securities  LIBOR 1 M + 0.450%   0.598   07/25/30   6,770 
        Series - 2018 C01 (Class 1EB1)                
 2,607,113   i  Connecticut Avenue Securities  LIBOR 1 M + 2.250%   2.398   07/25/30   2,573 
        Series - 2018 C01 (Class 1M2)                
 2,607,503   i  Connecticut Avenue Securities  LIBOR 1 M + 0.850%   0.998   10/25/30   2,592 
        Series - 2018 C03 (Class 1EA2)                
 1,948,504   i  Connecticut Avenue Securities  LIBOR 1 M + 2.550%   2.698   12/25/30   1,914 
        Series - 2018 C04 (Class 2M2)                
 630,091   g,i  Connecticut Avenue Securities  LIBOR 1 M + 2.450%   2.598   07/25/31   626 
        Series - 2019 R01 (Class 2M2)                
362

COLLEGE RETIREMENT EQUITIES FUND - Bond Market Account

 

          REFERENCE      MATURITY  VALUE 
PRINCIPAL      ISSUER  RATE & SPREAD  RATE  DATE  (000) 
$723,147   g,i  Connecticut Avenue Securities  LIBOR 1 M + 2.100%   2.248%  09/25/39  $717 
        Series - 2019 R06 (Class 2M2)                
 792,609   g,i  Connecticut Avenue Securities  LIBOR 1 M + 0.750%   0.898   01/25/40   791 
        Series - 2020 R02 (Class 2M1)                
 4,510,798   g,i  Connecticut Avenue Securities  LIBOR 1 M + 0.800%   0.948   01/25/40   4,492 
        Series - 2020 R01 (Class 1M1)                
 1,240,000   g,i  Connecticut Avenue Securities  LIBOR 1 M + 2.000%   2.148   01/25/40   1,208 
        Series - 2020 R02 (Class 2M2)                
 3,750,000   g  CPT Mortgage Trust      2.865   11/13/39   4,082 
        Series - 2019 CPT (Class A)                
 2,000,000   g,i  CPT Mortgage Trust      3.097   11/13/39   1,884 
        Series - 2019 CPT (Class E)                
 7,400,000   g,i  Credit Suisse Commercial Mortgage Trust      3.854   11/10/32   7,903 
        Series - 2017 CALI (Class B)                
 2,773,000   g,i  Credit Suisse Commercial Mortgage Trust  LIBOR 1 M + 0.650%   0.798   05/25/36   2,767 
        Series - 2006 CF2 (Class M3)                
 12,322,801   g,i  Credit Suisse Commercial Mortgage Trust      3.500   02/25/48   12,788 
        Series - 2018 J1 (Class A11)                
 4,689,000   g,i  Credit Suisse Commercial Mortgage Trust      5.896   01/15/49   5,569 
        Series - 2007 C2 (Class C)                
 1,910,000   g,i  Credit Suisse Mortgage Capital Certificates  LIBOR 1 M + 1.600%   1.752   05/15/36   1,891 
        Series - 2019 ICE4 (Class D)                
 4,171,000      CSAIL Commercial Mortgage Trust      3.314   11/15/49   4,441 
        Series - 2016 C7 (Class ASB)                
 9,250,000      DBGS Mortgage Trust      4.466   10/15/51   11,149 
        Series - 2018 C1 (Class A4)                
 11,000,000      DBJPM Mortgage Trust      2.756   08/10/49   11,637 
        Series - 2016 C3 (Class ASB)                
 10,000,000      DBJPM Mortgage Trust      3.121   06/10/50   10,803 
        Series - 2017 C6 (Class ASB)                
 5,300,000      DBJPMortgage Trust      2.340   09/15/53   5,508 
        Series - 2020 C9 (Class AM)                
 17,410,000   g  DBUBS Mortgage Trust      3.452   10/10/34   18,663 
        Series - 2017 BRBK (Class A)                
 15,500,000   g,i  DBUBS Mortgage Trust      3.648   10/10/34   16,446 
        Series - 2017 BRBK (Class B)                
 3,100,991   g  DBUBS Mortgage Trust      4.452   05/10/44   3,081 
        Series - 2011 LC3A (Class PM1)                
 21,795,220   g  DBUBS Mortgage Trust      4.537   07/10/44   22,051 
        Series - 2011 LC2A (Class A4)                
 3,100,000   g,i  DBUBS Mortgage Trust      4.998   07/10/44   3,144 
        Series - 2011 LC2A (Class B)                
 5,000,000   g,i  DBUBS Mortgage Trust      5.670   07/10/44   5,026 
        Series - 2011 LC2A (Class C)                
 5,500,000   g,i  DBUBS Mortgage Trust      5.513   08/10/44   5,603 
        Series - 2011 LC3A (Class AM)                
 2,084,000   g,i  DBUBS Mortgage Trust      5.513   08/10/44   2,113 
        Series - 2011 LC3A (Class B)                
 4,840,000   g,i  DBUBS Mortgage Trust      5.790   11/10/46   4,849 
        Series - 2011 LC1A (Class C)                
 2,051,000   g,i  Ellington Financial Mortgage Trust      3.587   06/25/59   2,049 
        Series - 2019 1 (Class M1)                
 2,242,151   i  Fieldstone Mortgage Investment Trust  LIBOR 1 M + 0.735%   0.883   12/25/35   2,228 
        Series - 2005 2 (Class M2)                
363

COLLEGE RETIREMENT EQUITIES FUND - Bond Market Account

 

          REFERENCE      MATURITY  VALUE 
PRINCIPAL      ISSUER  RATE & SPREAD  RATE  DATE  (000) 
$1,661,394   g,i  FirstKey Mortgage Trust      3.500%  11/25/44  $1,714 
        Series - 2014 1 (Class A8)                
 3,276,541   g,i  Flagstar Mortgage Trust      3.500   03/25/47   3,315 
        Series - 2017 1 (Class 1A5)                
 2,572,832   g,i  Flagstar Mortgage Trust      4.102   10/25/47   2,681 
        Series - 2017 2 (Class B3)                
 1,396,741   g,i  Flagstar Mortgage Trust      4.000   09/25/48   1,431 
        Series - 2018 5 (Class A11)                
 10,000,000   g  GRACE Mortgage Trust      3.369   06/10/28   10,061 
        Series - 2014 GRCE (Class A)                
 8,970,000   g  GRACE Mortgage Trust      3.520   06/10/28   9,010 
        Series - 2014 GRCE (Class B)                
 5,943,000   g  GS Mortgage Securities Corp II      3.551   04/10/34   5,991 
        Series - 2012 ALOH (Class A)                
 4,430,000   g  GS Mortgage Securities Corp II      2.954   11/05/34   4,415 
        Series - 2012 BWTR (Class A)                
 350,000   i  GS Mortgage Securities Corp II      3.777   05/10/50   382 
        Series - 2015 GC30 (Class AS)                
 6,850,000   i  GS Mortgage Securities Corp II      3.992   03/10/51   7,987 
        Series - 2018 GS9 (Class A4)                
 3,500,000   i  GS Mortgage Securities Corp II      4.155   07/10/51   4,113 
        Series - 2018 GS10 (Class A5)                
 2,000,000   g,i  GS Mortgage Securities Trust  LIBOR 1 M + 1.450%   1.602   07/15/31   1,891 
        Series - 2018 TWR (Class C)                
 1,328,542      GS Mortgage Securities Trust      3.206   02/10/48   1,392 
        Series - 2015 GC28 (Class AAB)                
 2,816,500      GS Mortgage Securities Trust      3.396   02/10/48   3,083 
        Series - 2015 GC28 (Class A5)                
 2,000,000   i  GS Mortgage Securities Trust      4.018   07/10/48   2,215 
        Series - 2015 GC32 (Class AS)                
 3,360,000      GS Mortgage Securities Trust      3.278   10/10/48   3,537 
        Series - 2015 GC34 (Class AAB)                
 2,250,000      GS Mortgage Securities Trust      2.635   05/10/49   2,261 
        Series - 2016 GS2 (Class A2)                
 2,000,000      GS Mortgage Securities Trust      3.143   10/10/49   2,158 
        Series - 2016 GS3 (Class AS)                
 2,000,000      GS Mortgage Securities Trust      3.674   03/10/50   2,281 
        Series - 2017 GS5 (Class A4)                
 4,150,000   i  GS Mortgage Securities Trust      3.826   03/10/50   4,660 
        Series - 2017 GS5 (Class AS)                
 1,750,000   i  GS Mortgage Securities Trust      4.047   03/10/50   1,934 
        Series - 2017 GS5 (Class B)                
 12,000,000      GS Mortgage Securities Trust      3.230   05/10/50   13,032 
        Series - 2017 GS6 (Class AAB)                
 6,000,000      GS Mortgage Securities Trust      3.433   05/10/50   6,768 
        Series - 2017 GS6 (Class A3)                
 3,000,000   i  GS Mortgage Securities Trust      4.213   05/10/50   2,833 
        Series - 2015 GC30 (Class C)                
 3,000,000      GS Mortgage Securities Trust      3.837   11/10/50   3,429 
        Series - 2017 GS8 (Class ABP)                
 1,374,000   i  GS Mortgage Securities Trust      4.481   11/10/50   1,378 
        Series - 2017 GS8 (Class C)                
 3,000,000   g,i  GS Mortgage Securities Trust      3.668   07/10/52   3,062 
        Series - 2019 GC40 (Class DBC)                
364

COLLEGE RETIREMENT EQUITIES FUND - Bond Market Account

 

          REFERENCE      MATURITY  VALUE 
PRINCIPAL      ISSUER  RATE & SPREAD  RATE  DATE  (000) 
$2,500,000   i  GS Mortgage Securities Trust      3.173%  02/13/53  $2,787 
        Series - 2020 GC45 (Class AS)                
 1,631,313   g,i  GS Mortgage-Backed Securities Corp Trust      4.000   11/25/49   1,678 
        Series - 2019 PJ2 (Class A1)                
 4,261,312   g,i  GS Mortgage-Backed Securities Corp Trust      4.000   11/25/49   4,367 
        Series - 2019 PJ2 (Class A4)                
 747,815   g,i  GS Mortgage-Backed Securities Corp Trust      3.500   07/25/50   759 
        Series - 2020 PJ2 (Class A4)                
 3,052,107   i  HarborView Mortgage Loan Trust  LIBOR 1 M + 0.620%   0.776   08/19/45   2,940 
        Series - 2005 11 (Class 2A1A)                
 6,000,000   g  Hudson Yards Mortgage Trust      2.835   08/10/38   6,442 
        Series - 2016 10HY (Class A)                
 2,500,000   g,i  Hudson Yards Mortgage Trust      3.076   08/10/38   2,645 
        Series - 2016 10HY (Class B)                
 7,250,000   g,i  Hudson Yards Mortgage Trust      3.076   08/10/38   7,550 
        Series - 2016 10HY (Class C)                
 5,500,000   g,i  Hudson Yards Mortgage Trust      3.041   12/10/41   5,440 
        Series - 2019 55HY (Class D)                
 2,750,000   g,i  Hudson Yards Mortgage Trust      3.041   12/10/41   2,568 
        Series - 2019 55HY (Class E)                
 487,897   i  Impac CMB Trust      0.808   03/25/35   476 
        Series - 2004 11 (Class 2A1)                
 12,474,670   g  JP Morgan Chase Commercial Mortgage Securities Corp      4.717   02/15/46   12,514 
        Series - 2011 C3 (Class A4)                
 10,975,000   g,i  JP Morgan Chase Commercial Mortgage Securities Corp      5.360   02/15/46   9,343 
        Series - 2011 C3 (Class C)                
 4,941,962   g  JP Morgan Chase Commercial Mortgage Securities Corp      4.388   07/15/46   4,996 
        Series - 2011 C4 (Class A4)                
 15,000,000   g  JP Morgan Chase Commercial Mortgage Securities Corp      4.801   07/15/46   15,178 
        Series - 2011 C4 (Class B)                
 6,455,000   g,i  JP Morgan Chase Commercial Mortgage Securities Corp      5.525   07/15/46   6,503 
        Series - 2011 C4 (Class C)                
 2,800,000      JP Morgan Chase Commercial Mortgage Securities Corp      3.372   12/15/47   2,922 
        Series - 2013 C10 (Class AS)                
 1,430,000      JP Morgan Chase Commercial Mortgage Securities Corp      3.914   01/15/49   1,621 
        Series - 2015 JP1 (Class A5)                
 750,000   i  JP Morgan Chase Commercial Mortgage Securities Corp      4.119   01/15/49   840 
        Series - 2015 JP1 (Class AS)                
 7,000,000      JP Morgan Chase Commercial Mortgage Securities Corp      2.713   08/15/49   7,357 
        Series - 2016 JP2 (Class ASB)                
 4,500,000      JP Morgan Chase Commercial Mortgage Securities Corp      3.379   09/15/50   4,787 
        Series - 2017 JP7 (Class A3)                
 4,550,501   g,i  JP Morgan Mortgage Trust      2.140   12/25/44   4,624 
        Series - 2015 1 (Class B1)                
365

COLLEGE RETIREMENT EQUITIES FUND - Bond Market Account

 

          REFERENCE      MATURITY  VALUE 
PRINCIPAL      ISSUER  RATE & SPREAD  RATE  DATE  (000) 
$879,858   g,i  JP Morgan Mortgage Trust      3.500%  05/25/45  $906 
        Series - 2015 3 (Class A19)                
 6,716,144   g,i  JP Morgan Mortgage Trust      3.500   10/25/45   6,959 
        Series - 2015 6 (Class A13)                
 1,715,222   g,i  JP Morgan Mortgage Trust      3.500   05/25/46   1,759 
        Series - 2016 1 (Class A13)                
 300,160   g,i  JP Morgan Mortgage Trust      3.500   05/25/46   302 
        Series - 2016 1 (Class A5)                
 279,143   g,i  JP Morgan Mortgage Trust      3.500   01/25/47   287 
        Series - 2017 1 (Class A3)                
 5,049,599   g,i  JP Morgan Mortgage Trust      3.500   05/25/47   5,116 
        Series - 2017 2 (Class A5)                
 4,120,917   g,i  JP Morgan Mortgage Trust      3.500   05/25/47   4,220 
        Series - 2017 2 (Class A13)                
 279,829   g,i  JP Morgan Mortgage Trust      3.500   08/25/47   281 
        Series - 2017 3 (Class 1A5)                
 1,943,254   g,i  JP Morgan Mortgage Trust      3.500   09/25/48   2,021 
        Series - 2018 3 (Class A13)                
 1,364,502   g,i  JP Morgan Mortgage Trust      3.500   10/25/48   1,388 
        Series - 2018 4 (Class A5)                
 655,369   g,i  JP Morgan Mortgage Trust      3.500   10/25/48   685 
        Series - 2018 4 (Class A13)                
 2,549,900   g,i  JP Morgan Mortgage Trust      3.500   10/25/48   2,666 
        Series - 2018 5 (Class A13)                
 206,613   g,i  JP Morgan Mortgage Trust      4.000   01/25/49   207 
        Series - 2018 8 (Class A5)                
 1,592,690   g,i  JP Morgan Mortgage Trust      4.000   01/25/49   1,633 
        Series - 2018 8 (Class A13)                
 4,644,595   g,i  JP Morgan Mortgage Trust      4.000   02/25/49   4,761 
        Series - 2018 9 (Class A13)                
 2,561,903   g,i  JP Morgan Mortgage Trust      4.000   05/25/49   2,638 
        Series - 2019 1 (Class A3)                
 4,294,908   g,i  JP Morgan Mortgage Trust      4.000   05/25/49   4,406 
        Series - 2019 1 (Class A15)                
 348,389   g,i  JP Morgan Mortgage Trust      4.000   08/25/49   348 
        Series - 2019 2 (Class A4)                
 1,547,141   g,i  JP Morgan Mortgage Trust      4.781   09/25/49   1,650 
        Series - 2019 3 (Class B1)                
 7,430,330   g,i  JP Morgan Mortgage Trust  LIBOR 1 M + 0.950%   1.098   10/25/49   7,421 
        Series - 2019 INV1 (Class A11)                
 18,557   g,i  JP Morgan Mortgage Trust      4.000   11/25/49   19 
        Series - 2019 5 (Class A4)                
 7,056,373   g,i  JP Morgan Mortgage Trust      3.877   06/25/50   7,432 
        Series - 2020 1 (Class B2)                
 1,000,000   i  JPMBB Commercial Mortgage Securities Trust      4.133   08/15/46   1,080 
        Series - 2013 C14 (Class A4)                
 1,350,000      JPMBB Commercial Mortgage Securities Trust      3.775   08/15/47   1,479 
        Series - 2014 C21 (Class A5)                
 5,000,000      JPMBB Commercial Mortgage Securities Trust      3.997   08/15/47   5,453 
        Series - 2014 C21 (Class AS)                
 2,000,000   i  JPMBB Commercial Mortgage Securities Trust      4.621   09/15/47   2,125 
        Series - 2014 C23 (Class B)                
 3,000,000      JPMBB Commercial Mortgage Securities Trust      3.898   02/15/48   3,175 
        Series - 2015 C27 (Class B)                
366

COLLEGE RETIREMENT EQUITIES FUND - Bond Market Account

 

          REFERENCE      MATURITY  VALUE 
PRINCIPAL      ISSUER  RATE & SPREAD  RATE  DATE  (000) 
$2,556,000      JPMBB Commercial Mortgage Securities Trust      3.611%  05/15/48  $2,825 
        Series - 2015 C29 (Class A4)                
 2,500,000   i  JPMBB Commercial Mortgage Securities Trust      3.917   05/15/48   2,750 
        Series - 2015 C29 (Class AS)                
 1,600,000   i  JPMBB Commercial Mortgage Securities Trust      4.118   05/15/48   1,662 
        Series - 2015 C29 (Class B)                
 3,500,000      JPMBB Commercial Mortgage Securities Trust      4.106   08/15/48   3,887 
        Series - 2015 C31 (Class AS)                
 3,253,000   i  JPMBB Commercial Mortgage Securities Trust      4.773   08/15/48   3,130 
        Series - 2015 C31 (Class C)                
 9,125,000   i  JPMBB Commercial Mortgage Securities Trust      4.773   08/15/48   10,033 
        Series - 2015 C31 (Class B)                
 4,610,000      JPMBB Commercial Mortgage Securities Trust      3.576   03/15/49   5,161 
        Series - 2016 C1 (Class A5)                
 4,750,000      JPMCC Commercial Mortgage Securities Trust      3.457   03/15/50   5,332 
        Series - 2017 JP5 (Class A4)                
 1,220,000      JPMCC Commercial Mortgage Securities Trust      3.549   03/15/50   1,336 
        Series - 2017 JP5 (Class ASB)                
 3,000,000      JPMDB Commercial Mortgage Securities Trust      3.694   03/15/50   3,422 
        Series - 2017 C5 (Class A5)                
 9,000,000      JPMDB Commercial Mortgage Securities Trust      2.536   05/13/53   9,535 
        Series - 2020 COR7 (Class AS)                
 3,713,025   g  Ladder Capital Commercial Mortgage Securities      3.575   02/15/36   3,944 
        Series - 2013 GCP (Class A1)                
 5,000,000   g  Ladder Capital Commercial Mortgage Securities      3.357   07/12/50   5,488 
        Series - 2017 LC26 (Class ASB)                
 7,250,000   g  Liberty Street Trust      3.597   02/10/36   7,960 
        Series - 2016 225L (Class A)                
 4,000,000   g,i  MAD Mortgage Trust      3.294   08/15/34   4,153 
        Series - 2017 330M (Class A)                
 1,500,000   g,i  Manhattan West      2.413   09/10/39   1,536 
        Series - 2020 1MW (Class B)                
 3,000,000   g,i  Manhattan West      2.413   09/10/39   2,991 
        Series - 2020 1MW (Class C)                
 906,859   i  Merrill Lynch Mortgage Investors Trust  LIBOR 1 M + 0.260%   2.278   01/25/37   860 
        Series - 2006 WMC1 (Class A1B)                
 1,515,344      Morgan Stanley Bank of America Merrill Lynch Trust      2.469   02/15/46   1,543 
        Series - 2013 C7 (Class AAB)                
 2,873,693   g  Morgan Stanley Bank of America Merrill Lynch Trust      3.989   12/15/46   2,984 
        Series - 2014 C19 (Class LNC1)                
 2,367,127   g  Morgan Stanley Bank of America Merrill Lynch Trust      4.384   12/15/46   2,423 
        Series - 2014 C19 (Class LNC2)                
 849,811      Morgan Stanley Bank of America Merrill Lynch Trust      3.669   02/15/47   852 
        Series - 2014 C14 (Class A3)                
 221,202      Morgan Stanley Bank of America Merrill Lynch Trust      3.194   10/15/47   221 
        Series - 2014 C18 (Class A2)                
 4,650,000      Morgan Stanley Bank of America Merrill Lynch Trust      3.832   12/15/47   5,054 
        Series - 2014 C19 (Class AS)                
367

COLLEGE RETIREMENT EQUITIES FUND - Bond Market Account

 

          REFERENCE      MATURITY  VALUE 
PRINCIPAL      ISSUER  RATE & SPREAD  RATE  DATE  (000) 
$1,600,000      Morgan Stanley Bank of America Merrill Lynch Trust      3.605%  02/15/48  $1,729 
        Series - 2015 C20 (Class AS)                
 2,500,000      Morgan Stanley Bank of America Merrill Lynch Trust      3.338   03/15/48   2,726 
        Series - 2015 C21 (Class A4)                
 5,500,000      Morgan Stanley Bank of America Merrill Lynch Trust      3.652   03/15/48   5,987 
        Series - 2015 C21 (Class AS)                
 2,925,000      Morgan Stanley Bank of America Merrill Lynch Trust      3.306   04/15/48   3,175 
        Series - 2015 C22 (Class A4)                
 3,000,000      Morgan Stanley Bank of America Merrill Lynch Trust      3.561   04/15/48   3,242 
        Series - 2015 C22 (Class AS)                
 897,837   i  Morgan Stanley Capital I Trust  LIBOR 1 M + 0.825%   0.973   08/25/34   892 
        Series - 2004 HE6 (Class M1)                
 3,548,000   g  Morgan Stanley Capital I Trust      4.193   09/15/47   3,372 
        Series - 2011 C1 (Class F)                
 7,075,000   g,i  Morgan Stanley Capital I Trust      5.675   09/15/47   7,095 
        Series - 2011 C1 (Class D)                
 2,795,000   i  Morgan Stanley Capital I Trust      3.779   05/15/48   3,102 
        Series - 2015 MS1 (Class A4)                
 625,490   †,i  Morgan Stanley Capital I Trust      6.467   12/12/49   373 
        Series - 2007 IQ16 (Class AJ)                
 426,665   †,i  Morgan Stanley Capital I Trust      6.467   12/12/49   254 
        Series - 2007 IQ16 (Class AJFX)                
 6,000,000      Morgan Stanley Capital I Trust      3.304   06/15/50   6,512 
        Series - 2017 H1 (Class ASB)                
 1,458,000      Morgan Stanley Capital I Trust      3.587   12/15/50   1,652 
        Series - 2017 HR2 (Class A4)                
 5,250,000      Morgan Stanley Capital I Trust      4.177   07/15/51   6,232 
        Series - 2018 H3 (Class A5)                
 3,000,000   g,i  MSDB Trust      3.427   07/11/39   3,212 
        Series - 2017 712F (Class A)                
 1,200,000   g,i  Natixis Commercial Mortgage Securities Trust      3.917   11/15/32   1,239 
        Series - 2018 285M (Class A)                
 4,000,000   g,i  Natixis Commercial Mortgage Securities Trust      3.917   11/15/32   4,046 
        Series - 2018 285M (Class C)                
 15,010,000   g,i  Natixis Commercial Mortgage Securities Trust  LIBOR 1 M + 1.500%   1.652   07/15/36   14,860 
        Series - 2019 MILE (Class A)                
 5,000,000   g,i  Natixis Commercial Mortgage Securities Trust  LIBOR 1 M + 1.800%   1.952   07/15/36   4,851 
        Series - 2019 MILE (Class B)                
 5,000,000   g,i  Natixis Commercial Mortgage Securities Trust  LIBOR 1 M + 2.750%   2.902   07/15/36   4,767 
        Series - 2019 MILE (Class D)                
 5,000,000   g  Natixis Commercial Mortgage Securities Trust      2.507   10/15/36   5,087 
        Series - 2019 1776 (Class A)                
 2,000,000   g  Natixis Commercial Mortgage Securities Trust      2.966   12/15/38   2,086 
        Series - 2020 2PAC (Class A)                
 485,790   g,i  New Residential Mortgage Loan Trust      3.750   05/28/52   520 
        Series - 2015 1A (Class A3)                
 115,672   g,i  New Residential Mortgage Loan Trust      4.000   08/27/57   125 
        Series - 2017 6A (Class A1)                
368

COLLEGE RETIREMENT EQUITIES FUND - Bond Market Account

 

          REFERENCE      MATURITY  VALUE 
PRINCIPAL      ISSUER  RATE & SPREAD  RATE  DATE  (000) 
$756,775   i  New York Mortgage Trust  LIBOR 1 M + 0.480%   0.628%  02/25/36  $738 
        Series - 2005 3 (Class A1)                
 1,990,913   g,i  OBX Trust  LIBOR 1 M + 0.650%   0.798   06/25/57   1,988 
        Series - 2018 1 (Class A2)                
 1,988,752   g,i  OBX Trust  LIBOR 1 M + 0.750%   0.898   07/25/58   1,980 
        Series - 2018 EXP2 (Class 2A1A)                
 373,038   g  Prima Capital CRE Securitization Ltd      2.550   08/24/49   372 
        Series - 2015 4A (Class MR-A)                
 2,000,000   g  RBS Commercial Funding, Inc Trust      3.511   03/11/31   1,808 
        Series - 2013 SMV (Class B)                
 2,122,677   g,i  Sequoia Mortgage Trust      3.500   05/25/45   2,196 
        Series - 2015 2 (Class A1)                
 1,881,801   g,i  Sequoia Mortgage Trust      3.500   06/25/46   1,953 
        Series - 2016 1 (Class A19)                
 1,038,350   g,i  Sequoia Mortgage Trust      3.500   11/25/46   1,060 
        Series - 2016 3 (Class A10)                
 3,524,853   g,i  Sequoia Mortgage Trust      3.500   02/25/47   3,570 
        Series - 2017 2 (Class A4)                
 519,428   g,i  Sequoia Mortgage Trust      3.500   02/25/47   540 
        Series - 2017 2 (Class A19)                
 171,600   g,i  Sequoia Mortgage Trust      3.500   04/25/47   178 
        Series - 2017 3 (Class A19)                
 4,645,542   g,i  Sequoia Mortgage Trust      3.500   04/25/47   4,707 
        Series - 2017 3 (Class A4)                
 477,040   g,i  Sequoia Mortgage Trust      3.500   09/25/47   480 
        Series - 2017 6 (Class A4)                
 2,294,103   g,i  Sequoia Mortgage Trust      3.743   09/25/47   2,426 
        Series - 2017 6 (Class B1)                
 1,431,534   g,i  Sequoia Mortgage Trust      3.500   02/25/48   1,473 
        Series - 2018 2 (Class A1)                
 270,101   g,i  Sequoia Mortgage Trust      3.500   02/25/48   276 
        Series - 2018 2 (Class A19)                
 5,994,106   g,i  Sequoia Mortgage Trust      3.500   03/25/48   6,180 
        Series - 2018 3 (Class A1)                
 456,486   g,i  Sequoia Mortgage Trust      3.500   03/25/48   458 
        Series - 2018 3 (Class A4)                
 358,446   g,i  Sequoia Mortgage Trust      4.000   09/25/48   359 
        Series - 2018 7 (Class A4)                
 768,827   g,i  Sequoia Mortgage Trust      4.000   09/25/48   782 
        Series - 2018 7 (Class A19)                
 1,021,081   g,i  Sequoia Mortgage Trust      4.000   11/25/48   1,033 
        Series - 2018 8 (Class A19)                
 5,630,795   g,i  Sequoia Mortgage Trust      4.000   06/25/49   5,742 
        Series - 2019 2 (Class A1)                
 1,771,613   g,i  Sequoia Mortgage Trust      4.000   06/25/49   1,796 
        Series - 2019 2 (Class A19)                
 9,531,267   g,i  Sequoia Mortgage Trust      3.500   11/25/49   9,831 
        Series - 2019 4 (Class A1)                
 9,954,268   g,i  Sequoia Mortgage Trust      3.500   12/25/49   10,226 
        Series - 2019 5 (Class A1)                
 5,747,738   g,i  Sequoia Mortgage Trust      3.500   12/25/49   5,832 
        Series - 2019 5 (Class A19)                
 15,743,083   g,i  Sequoia Mortgage Trust      3.000   04/25/50   16,101 
        Series - 2020 3 (Class A19)                
369

COLLEGE RETIREMENT EQUITIES FUND - Bond Market Account

 

          REFERENCE      MATURITY  VALUE 
PRINCIPAL      ISSUER  RATE & SPREAD  RATE  DATE  (000) 
$1,226,731   g,i  Shellpoint Co-Originator Trust      3.500%  11/25/46  $1,244 
        Series - 2016 1 (Class 1A10)                
 1,767,051   g,i  Shellpoint Co-Originator Trust      3.500   04/25/47   1,825 
        Series - 2017 1 (Class A19)                
 473,046   i  Structured Agency Credit Risk Debt Note (STACR)  LIBOR 1 M + 4.150%   4.298   01/25/25   474 
        Series - 2015 DN1 (Class M3)                
 2,030,897   i  STACR  LIBOR 1 M + 1.950%   2.098   05/25/25   2,031 
        Series - 2015 HQ2 (Class M2)                
 4,506,017   i  STACR  LIBOR 1 M + 4.650%   4.798   10/25/28   4,681 
        Series - 2016 DNA2 (Class M3)                
 13,377,115   i  STACR  LIBOR 1 M + 3.250%   3.398   07/25/29   13,699 
        Series - 2017 DNA1 (Class M2)                
 1,749,658   i  STACR  LIBOR 1 M + 1.200%   1.348   10/25/29   1,750 
        Series - 2017 DNA2 (Class M1)                
 601,677   i  STACR  LIBOR 1 M + 1.800%   1.948   07/25/30   591 
        Series - 2018 DNA1 (Class M2)                
 329,828   g,i  STACR      3.721   02/25/48   332 
        Series - 2018 SPI1 (Class M1)                
 4,341,057   g,i  STACR      4.473   11/25/48   4,316 
        Series - 2018 SPI4 (Class M2)                
 3,104,736   g,i  STACR  LIBOR 1 M + 2.050%   2.198   11/25/49   3,064 
        Series - 2019 HQA4 (Class M2)                
 1,531,000   g,i  STACR  LIBOR 1 M + 1.700%   1.848   12/25/49   1,498 
        Series - 2020 DNA1 (Class M2)                
 3,400,000   g,i  STACR  LIBOR 1 M + 1.850%   1.998   02/25/50   3,310 
        Series - 2020 DNA2 (Class M2)                
 5,645,000   g,i  STACR  LIBOR 1 M + 3.100%   3.248   03/25/50   5,560 
        Series - 2020 HQA2 (Class M2)                
 708,381   g,i  STACR  LIBOR 1 M + 1.100%   1.248   07/27/50   708 
        Series - 2020 HQA2 (Class M1)                
 1,275,000   g  Tricon American Homes      2.049   07/17/38   1,298 
        Series - 2020 SFR1 (Class B)                
 12,548,000      UBS Commercial Mortgage Trust      3.256   06/15/50   13,599 
        Series - 2017 C1 (Class ASB)                
 2,000,000      UBS Commercial Mortgage Trust      3.366   10/15/50   2,197 
        Series - 2017 C4 (Class ASB)                
 4,000,000      UBS-Barclays Commercial Mortgage Trust      2.850   12/10/45   4,146 
        Series - 2012 C4 (Class A5)                
 4,585,000   g  VNDO Mortgage Trust      3.808   12/13/29   4,582 
        Series - 2013 PENN (Class A)                
 1,100,000   g,i  VNDO Mortgage Trust      4.079   12/13/29   1,095 
        Series - 2013 PENN (Class C)                
 1,373,937   g  VSE VOI Mortgage LLC      2.540   07/20/33   1,382 
        Series - 2016 A (Class A)                
 1,053,488   g  VSE VOI Mortgage LLC      2.740   07/20/33   1,041 
        Series - 2016 A (Class B)                
 3,951,234   g  VSE VOI Mortgage LLC      2.330   03/20/35   4,011 
        Series - 2017 A (Class A)                
 8,200,000      Wells Fargo Commercial Mortgage Trust      3.539   10/15/45   8,521 
        Series - 2012 LC5 (Class AS)                
 1,740,030      Wells Fargo Commercial Mortgage Trust      3.405   12/15/47   1,898 
        Series - 2014 LC18 (Class A5)                
 990,000      Wells Fargo Commercial Mortgage Trust      3.406   05/15/48   1,063 
        Series - 2015 NXS1 (Class AS)                
370

COLLEGE RETIREMENT EQUITIES FUND - Bond Market Account

 

                 MATURITY  VALUE 
PRINCIPAL      ISSUER     RATE  DATE  (000) 
$2,000,000   i  Wells Fargo Commercial Mortgage Trust      3.658%  05/15/48  $2,066 
        Series - 2015 NXS1 (Class B)                
 2,566,000      Wells Fargo Commercial Mortgage Trust      3.637   06/15/48   2,848 
        Series - 2015 C29 (Class A4)                
 10,000,000      Wells Fargo Commercial Mortgage Trust      2.788   07/15/48   10,547 
        Series - 2016 C35 (Class ASB)                
 228,569      Wells Fargo Commercial Mortgage Trust      1.321   08/15/49   229 
        Series - 2016 BNK1 (Class A1)                
 15,000,000      Wells Fargo Commercial Mortgage Trust      2.514   08/15/49   15,710 
        Series - 2016 BNK1 (Class ASB)                
 15,000,000      Wells Fargo Commercial Mortgage Trust      2.825   10/15/49   15,871 
        Series - 2016 LC24 (Class ASB)                
 10,070,059      Wells Fargo Commercial Mortgage Trust      2.749   03/15/50   10,241 
        Series - 2017 RB1 (Class A2)                
 7,500,000      Wells Fargo Commercial Mortgage Trust      3.446   03/15/50   8,221 
        Series - 2017 RB1 (Class ASB)                
 872,111      Wells Fargo Commercial Mortgage Trust      3.635   03/15/50   994 
        Series - 2017 RB1 (Class A5)                
 2,000,000      Wells Fargo Commercial Mortgage Trust      3.757   03/15/50   2,239 
        Series - 2017 RB1 (Class AS)                
 1,825,000      Wells Fargo Commercial Mortgage Trust      3.184   04/15/50   1,974 
        Series - 2015 LC20 (Class A5)                
 15,000,000      Wells Fargo Commercial Mortgage Trust      3.261   07/15/50   16,305 
        Series - 2017 C38 (Class ASB)                
 7,000,000      Wells Fargo Commercial Mortgage Trust      3.453   07/15/50   7,922 
        Series - 2017 C38 (Class A5)                
 10,000,000      Wells Fargo Commercial Mortgage Trust      3.212   09/15/50   10,906 
        Series - 2017 C39 (Class ASB)                
 4,710,000      Wells Fargo Commercial Mortgage Trust      4.302   01/15/52   5,600 
        Series - 2018 C48 (Class A5)                
 7,000,000   i  Wells Fargo Commercial Mortgage Trust      3.767   07/15/58   7,781 
        Series - 2015 NXS2 (Class A5)                
 1,000,000   i  Wells Fargo Commercial Mortgage Trust      4.437   07/15/58   1,070 
        Series - 2015 NXS2 (Class B)                
 3,800,000      Wells Fargo Commercial Mortgage Trust      3.560   01/15/59   4,217 
        Series - 2016 C32 (Class A4)                
 6,000,000      Wells Fargo Commercial Mortgage Trust      3.749   03/15/59   6,609 
        Series - 2016 C33 (Class AS)                
 650,000      Wells Fargo Commercial Mortgage Trust      2.933   11/15/59   691 
        Series - 2016 C36 (Class ASB)                
 2,687,845   g,i  Wells Fargo Mortgage Backed Securities Trust      4.000   04/25/49   2,724 
        Series - 2019 2 (Class A17)                
 12,787,571   g,i  Wells Fargo Mortgage Backed Securities Trust      3.500   09/25/49   13,165 
        Series - 2019 4 (Class A1)                
 2,030,000   g,i  WFRBS Commercial Mortgage Trust      5.392   02/15/44   2,024 
        Series - 2011 C2 (Class C)                
 30,000,000   g,i  WFRBS Commercial Mortgage Trust      4.902   06/15/44   30,393 
        Series - 2011 C4 (Class A4)                
 1,770,000      WFRBS Commercial Mortgage Trust      3.345   05/15/45   1,851 
        Series - 2013 C13 (Class AS)                
 4,090,000   i  WFRBS Commercial Mortgage Trust      4.079   03/15/46   4,441 
        Series - 2013 UBS1 (Class A4)                
 1,050,000   i  WFRBS Commercial Mortgage Trust      4.162   12/15/46   1,147 
        Series - 2013 C18 (Class A5)                
371

COLLEGE RETIREMENT EQUITIES FUND - Bond Market Account

 

                 MATURITY  VALUE 
PRINCIPAL      ISSUER     RATE  DATE  (000) 
$2,185,281      WFRBS Commercial Mortgage Trust      3.995%  05/15/47  $2,361 
        Series - 2014 C20 (Class A5)                
 3,865,000      WFRBS Commercial Mortgage Trust      3.607   11/15/47   4,220 
        Series - 2014 C24 (Class A5)                
 8,000,000      WFRBS Commercial Mortgage Trust      3.560   03/15/48   8,367 
        Series - 2013 C12 (Class AS)                
        TOTAL OTHER MORTGAGE BACKED              1,366,207 
                         
        TOTAL STRUCTURED ASSETS              2,489,445 
        (Cost $2,444,970)                
                         
        TOTAL BONDS              14,175,646 
        (Cost $13,376,305)                
                         
SHARES      COMPANY                
COMMON STOCKS - 0.0%               
                         
TELECOMMUNICATION SERVICES - 0.0%               
 147,623   *  Oi S.A. (ADR)              214 
        TOTAL TELECOMMUNICATION SERVICES       214 
                         
        TOTAL COMMON STOCKS              214 
        (Cost $1,332)                
                         
PREFERRED STOCKS - 0.1%               
                         
BANKS - 0.1%               
 470,597   *  Federal Home Loan Mortgage Corp (FHLMC)              4,189 
 1,527,061   *  Federal National Mortgage Association (FNMA)              13,560 
        TOTAL BANKS              17,749 
                         
        TOTAL PREFERRED STOCKS              17,749 
        (Cost $49,941)                
                         
PRINCIPAL      ISSUER             
SHORT-TERM INVESTMENTS - 11.5%                
                         
GOVERNMENT AGENCY DEBT - 4.5%                
$10,007,000      Federal Agricultural Mortgage Corp (FAMC)      0.125   01/28/21   10,004 
 20,000,000      Federal Farm Credit Bank (FFCB)      0.100-0.200   11/04/20   19,999 
 10,000,000      FFCB      0.105   01/29/21   9,997 
 9,200,000      Federal Home Loan Bank (FHLB)      0.180   10/01/20   9,200 
 30,457,000      FHLB      0.080   10/09/20   30,457 
 24,364,000      FHLB      0.090   10/16/20   24,363 
 71,545,000      FHLB      0.090-0.110   10/20/20   71,543 
372

COLLEGE RETIREMENT EQUITIES FUND - Bond Market Account

 

                 MATURITY  VALUE 
PRINCIPAL      ISSUER     RATE  DATE  (000) 
$54,475,000      FHLB      0.075-0.100%  10/23/20  $54,473 
 50,000,000      FHLB      0.080-0.125   10/30/20   49,998 
 14,050,000      FHLB      0.098   11/12/20   14,049 
 50,000,000      FHLB      0.105   11/13/20   49,996 
 29,475,000      FHLB      0.090   11/20/20   29,472 
 52,465,000      FHLB      0.110   12/11/20   52,456 
 25,000,000      FHLB      0.094   12/23/20   24,995 
 27,826,000      FHLB      0.100   01/20/21   27,818 
 44,350,000      FHLB      0.095   01/21/21   44,337 
 25,000,000      FHLB      0.095   01/25/21   24,993 
 20,000,000      FHLB      0.100   01/29/21   19,994 
 5,000,000      FHLB      0.170   03/08/21   4,998 
 29,790,000      FHLB      0.110-0.115   03/12/21   29,776 
 28,470,000      FHLB      0.120   03/17/21   28,457 
 14,000,000      FHLB      0.110   03/19/21   13,993 
 4,792,000      Federal Home Loan Mortgage Corp (FHLMC)      0.095   02/01/21   4,790 
 20,000,000      Federal National Mortgage Association (FNMA)      0.200   10/16/20   19,999 
        TOTAL GOVERNMENT AGENCY DEBT              670,157 
                         
TREASURY DEBT - 7.0%                
EGP26,500,000     Egypt Treasury Bill      0.000   01/05/21   1,627 
 46,900,000     Egypt Treasury Bills      0.000   02/16/21   2,836 
$87,865,000      United States Cash Management Bill      0.065-0.080   10/13/20   87,863 
 50,000,000      United States Cash Management Bill      0.110   11/10/20   49,995 
 45,000,000      United States Cash Management Bill      0.116   12/08/20   44,988 
 22,700,000      United States Cash Management Bill      0.116   12/22/20   22,695 
 40,000,000      United States Cash Management Bill      0.101   12/29/20   39,991 
 53,955,000      United States Cash Management Bill      0.096-0.111   01/05/21   53,941 
 19,100,000      United States Cash Management Bill      0.090   01/12/21   19,096 
 25,000,000      United States Cash Management Bill      0.096   02/23/21   24,990 
 40,000,000      United States Cash Management Bill      0.098   03/02/21   39,983 
 30,000,000      United States Treasury Bill      0.136   10/01/20   30,000 
 3,000,000      United States Treasury Bill      0.140   10/06/20   3,000 
 25,000,000      United States Treasury Bill      0.113   10/15/20   24,999 
 20,700,000      United States Treasury Bill      0.088   10/29/20   20,699 
 19,660,000      United States Treasury Bill      0.082-0.085   11/05/20   19,658 
 112,880,000      United States Treasury Bill      0.086-0.117   11/19/20   112,866 
 39,370,000      United States Treasury Bill      0.090-0.097   11/27/20   39,364 
 47,055,000      United States Treasury Bill      0.090-0.110   12/03/20   47,047 
 50,000,000      United States Treasury Bill      0.100   12/17/20   49,990 
 34,400,000      United States Treasury Bill      0.091   12/24/20   34,391 
 45,823,000      United States Treasury Bill      0.100-0.117   12/31/20   45,811 
 25,000,000      United States Treasury Bill      0.098   01/14/21   24,992 
 40,000,000      United States Treasury Bill      0.094   01/21/21   39,987 
 25,000,000      United States Treasury Bill      0.111   02/04/21   24,991 
 44,720,000      United States Treasury Bill      0.108-0.110   02/11/21   44,702 
 95,500,000      United States Treasury Bill      0.106   03/25/21   95,448 
        TOTAL TREASURY DEBT              1,045,950 
                         
        TOTAL SHORT-TERM INVESTMENTS              1,716,107 
        (Cost $1,716,060)                
        TOTAL INVESTMENTS - 107.5%              16,027,495 
        (Cost $15,264,458)                
        OTHER ASSETS & LIABILITIES, NET - (7.5)%              (1,122,801)
        NET ASSETS - 100.0%             $14,904,694 
373

COLLEGE RETIREMENT EQUITIES FUND - Bond Market Account

 

       
       
    Abbreviation(s):
ADR   American Depositary Receipt
AUD   Australian Dollar
CAD   Canadian Dollar
CNY   Chinese Yuan
CZK   Czechoslovak Koruna
DKK   Danish Krone
DOP   Dominican Republic Peso
EGP   Egyptian Pound
EUR   Euro
GBP   Pound Sterling
IDR   Indonesian Rupiah
ILS   Israeli New Shekel
JPY   Japanese Yen
KRW   South Korean Won
LIBOR   London Interbank Offered Rate
M   Month
MXN   Mexican Peso
MYR   Malaysian Ringgit
NOK   Norwegian Krone
NZD   New Zealand Dollar
PEN   Peruvian Sol
PLN   Polish Zloty
REIT   Real Estate Investment Trust
RSD   Serbian Dinar
RUB   Russian Ruble
THB   Thai Baht
UAH   Ukrainian Hryvnia
UYU   Uruguayan Peso
  Week 
ZAR   South African Rand
     
*   Non-income producing
  Security is categorized as Level 3 in the fair value hierarchy.
  Perpetual security
g   Security is exempt from registration under Rule 144(A) of the Securities Act of 1933, as amended. Such securities are deemed liquid and may be resold in transactions exempt from registration to qualified institutional buyers. At 9/30/20, the aggregate value of these securities is $2,692,035,031 or 18.1% of net assets.
h   All or a portion of these securities were purchased on a delayed delivery basis.
i   Floating or variable rate security includes the reference rate and spread, unless the variable rate is based on the underlying asset of the security. Coupon rate reflects the rate at period end.
k   Principal amount for interest accrual purposes is periodically adjusted based on changes in the Consumer Price Index.
o   Payment in Kind Bond
q   In default
     
    Cost amounts are in thousands.
       
374

COLLEGE RETIREMENT EQUITIES FUND - Bond Market Account

 

Forward foreign currency contracts outstanding as of September 30, 2020 were as follows (dollar amounts are in thousands):

 

Currency to be
purchased
  Receive  Currency to be
sold
  Deliver  Counterparty  Settlement date  Unrealized
appreciation
(depreciation)
 
$  7,182  CAD  9,610  Australia and New Zealand Banking Group  11/30/20  $(36)
$  2,820  NZD  4,302  Australia and New Zealand Banking Group  11/30/20   (26)
Total                  $(62)
$  9,931  KRW  11,800,516  Bank of America  10/05/20  $(180)
KRW  11,800,516  $  10,056  Bank of America  10/05/20   56 
Total                  $(124)
$  4,338  AUD  6,144  Citibank N.A.  11/30/20  $(64)
$  1,229  EUR  1,033  Citibank N.A.  11/18/20   17 
$  94,369  EUR  80,882  Citibank N.A.  11/30/20   (581)
$  1,897  PLN  7,458  Citibank N.A.  10/30/20   (33)
$  942  THB  29,898  Citibank N.A.  10/30/20   (1)
Total                  $(662)
$  774  CZK  18,057  Morgan Stanley  10/30/20  $(9)
$  2,914  ILS  10,087  Morgan Stanley  10/30/20   (32)
$  10,056  KRW  11,800,516  Morgan Stanley  10/05/20   (56)
$  9,987  KRW  11,747,155  Morgan Stanley  10/30/20   (87)
KRW  11,800,516  $  10,034  Morgan Stanley  10/05/20   78 
$  383  ZAR  6,600  Morgan Stanley  10/30/20   (10)
Total                  $(116)
$  9,541  CNY  65,204  Toronto Dominion Bank  10/30/20  $(52)
$  988  DKK  6,299  Toronto Dominion Bank  11/30/20   (5)
$  21,073  GBP  16,395  Toronto Dominion Bank  11/30/20   (88)
$  39,666  JPY  4,181,361  Toronto Dominion Bank  11/30/20   (8)
$  4,919  NOK  46,598  Toronto Dominion Bank  11/30/20   (77)
Total                  $(230)
Total                 $(1,194)

 

       
     
    Abbreviations(s):
AUD   Australian Dollar
CAD   Canadian Dollar
CNY   Chinese Yuan
CZK   Czechoslovak Koruna
DKK   Danish Krone
EUR   Euro
GBP   Pound Sterling
ILS   Israeli New Shekel
JPY   Japanese Yen
KRW   South Korean Won
NOK   Norwegian Krone
NZD   New Zealand Dollar
PLN   Polish Zloty
THB   Thai Baht
ZAR   South African Rand

 

Centrally cleared credit default swap contracts outstanding as of September 30, 2020 were as follows (notional amounts and values are in thousands):

 

PURCHASED

 

Reference
entity
  Terms of payments to
be paid
  Terms of payments to
be received
  Counterparty  Maturity
date
  Notional
amount*
   Variation
margin
   Unrealized
appreciation
(depreciation)
 
CDX-NAHYS35V1-5Y  5.000%  Credit event as specified in contract  Citigroup Global Markets, Inc  12/20/25  $48,500   $(73)          $(202)

* The maximum potential amount the Account could be required to pay as a seller of credit protection or receive as a buyer of credit protection if a credit event occurs is defined under the terms of that particular swap agreement. This amount may be reduced by any recoverable assets, if applicable.

375

COLLEGE RETIREMENT EQUITIES FUND - Inflation-Linked Bond Account

 

COLLEGE RETIREMENT EQUITIES FUND

INFLATION-LINKED BOND ACCOUNT

SCHEDULE OF INVESTMENTS (unaudited)

September 30, 2020

 

PRINCIPAL     ISSUER  RATE  MATURITY
DATE
  VALUE
(000)
 
GOVERNMENT BONDS -  99.6%           
                     
AGENCY SECURITIES - 0.9%                
$3,931,358     Crowley Conro LLC   4.181%  08/15/43  $4,706 
 10,000,000     Federal Home Loan Mortgage Corp (FHLMC)   1.500   02/12/25   10,483 
 16,740,000     Montefiore Medical Center   2.895   04/20/32   18,151 
 3,000,000     Private Export Funding Corp (PEFCO)   3.250   06/15/25   3,352 
 3,618,421     Reliance Industries Ltd   2.444   01/15/26   3,801 
 15,000,000     Ukraine Government AID International Bonds   1.471   09/29/21   15,187 
 5,000,000     United States International Development Finance Corp   1.490   08/15/31   5,170 
       TOTAL AGENCY SECURITIES           60,850 
                     
MORTGAGE BACKED - 2.7%                
 16,000,000     Federal Home Loan Bank (FHLB)   0.375   09/04/25   15,994 
 22,124,448     Government National Mortgage Association (GNMA)   3.600   09/15/31   24,490 
 10,961,621     GNMA   3.650   02/15/32   12,115 
 2,399,277     GNMA   3.380   07/15/35   2,621 
 3,095,587     GNMA   3.870   10/15/36   3,445 
 40,590,935     GNMA   1.730   07/15/37   41,758 
 59,357,593     GNMA   4.250   09/15/38   64,448 
 27,195,440     GNMA   2.750   01/15/45   29,608 
       TOTAL MORTGAGE BACKED           194,479 
                     
U.S. TREASURY SECURITIES - 96.0%                
 40,193,445  k  United States Treasury Inflation Indexed Bonds   1.125   01/15/21   40,445 
 69,231,263  k  United States Treasury Inflation Indexed Bonds   0.625   07/15/21   70,262 
 327,326,988  k  United States Treasury Inflation Indexed Bonds   0.125   01/15/22   332,473 
 281,750,690  k  United States Treasury Inflation Indexed Bonds   0.125   04/15/22   286,698 
 328,943,840  k  United States Treasury Inflation Indexed Bonds   0.125   07/15/22   337,411 
 335,576,670  k  United States Treasury Inflation Indexed Bonds   0.125   01/15/23   345,742 
 236,747,380  k  United States Treasury Inflation Indexed Bonds   0.625   04/15/23   247,586 
 238,777,110  k  United States Treasury Inflation Indexed Bonds   0.375   07/15/23   250,413 
 154,603,705  k  United States Treasury Inflation Indexed Bonds   0.625   01/15/24   164,263 
 209,540,640  k  United States Treasury Inflation Indexed Bonds   0.500   04/15/24   222,435 
 140,196,070  k  United States Treasury Inflation Indexed Bonds   0.125   07/15/24   148,282 
 174,174,975  k  United States Treasury Inflation Indexed Bonds   0.125   10/15/24   184,843 
 178,279,620  k  United States Treasury Inflation Indexed Bonds   0.250   01/15/25   190,149 
 271,100,336  k  United States Treasury Inflation Indexed Bonds   2.375   01/15/25   314,630 
 137,401,410  k  United States Treasury Inflation Indexed Bonds   0.125   04/15/25   146,202 
 128,904,380  k  United States Treasury Inflation Indexed Bonds   0.375   07/15/25   139,909 
 160,268,220  k  United States Treasury Inflation Indexed Bonds   0.625   01/15/26   176,621 
 216,438,107  k  United States Treasury Inflation Indexed Bonds   2.000   01/15/26   254,902 
 149,143,500  k  United States Treasury Inflation Indexed Bonds   0.125   07/15/26   161,672 
376

COLLEGE RETIREMENT EQUITIES FUND - Inflation-Linked Bond Account

 

PRINCIPAL     ISSUER  RATE  MATURITY
DATE
  VALUE
(000)
 
$225,748,620  k  United States Treasury Inflation Indexed Bonds   0.375%  01/15/27  $248,318 
123,578,520  k  United States Treasury Inflation Indexed Bonds   2.375   01/15/27   152,342 
 122,317,965  k  United States Treasury Inflation Indexed Bonds   0.375   07/15/27   135,926 
 215,824,320  k  United States Treasury Inflation Indexed Bonds   0.500   01/15/28   242,103 
 213,184,668  k  United States Treasury Inflation Indexed Bonds   1.750   01/15/28   259,547 
 113,760,032  k  United States Treasury Inflation Indexed Bonds   3.625   04/15/28   155,913 
 132,099,840  k  United States Treasury Inflation Indexed Bonds   0.750   07/15/28   152,118 
 214,425,640  k  United States Treasury Inflation Indexed Bonds   0.875  01/15/29  249,633 
 142,258,140  k  United States Treasury Inflation Indexed Bonds   2.500   01/15/29   185,736 
 205,001,026  k  United States Treasury Inflation Indexed Bonds   3.875   04/15/29   294,573 
 280,534,520  k  United States Treasury Inflation Indexed Bonds   0.250   07/15/29   313,629 
 85,585,650  k  United States Treasury Inflation Indexed Bonds   0.125   01/15/30   94,514 
 70,728,000  k  United States Treasury Inflation Indexed Bonds   0.125   07/15/30   78,581 
 51,811,540  k  United States Treasury Inflation Indexed Bonds   3.375   04/15/32   78,556 
 23,971,400  k  United States Treasury Inflation Indexed Bonds   2.125   02/15/40   36,659 
 80,000,000     United States Treasury Note   0.125   06/30/22   79,981 
 44,000,000     United States Treasury Note   0.250   09/30/25   43,941 
       TOTAL U.S. TREASURY SECURITIES           6,817,008 
                     
       TOTAL GOVERNMENT BONDS           7,072,337 
       (Cost $6,444,405)             
                     
SHORT-TERM INVESTMENTS - 0.2%            
                       
GOVERNMENT AGENCY DEBT - 0.1%               
 5,250,000     Federal National Mortgage Association (FNMA)   0.200   10/16/20   5,250 
       TOTAL GOVERNMENT AGENCY DEBT            5,250 
                      
REPURCHASE AGREEMENT - 0.1%               
 4,690,000  r  Fixed Income Clearing Corp (FICC)   0.070   10/01/20   4,690 
       TOTAL REPURCHASE AGREEMENT            4,690 
                      
       TOTAL SHORT-TERM INVESTMENTS           9,940 
       (Cost $9,939)             
       TOTAL INVESTMENTS - 99.8%           7,082,277 
       (Cost $6,454,344)             
       OTHER ASSETS & LIABILITIES, NET - 0.2%           15,717 
       NET ASSETS - 100.0%          $7,097,994 

 

           
k       Principal amount for interest accrual purposes is periodically adjusted based on changes in the Consumer Price Index.
r       Agreement with Fixed Income Clearing Corporation, 0.070% dated 9/30/20 to be repurchased at $4,690,000 on 10/1/20, collateralized by U.S. Treasury Notes valued at $4,783,898.
         
        Cost amounts are in thousands.
377

COLLEGE RETIREMENT EQUITIES FUND - Social Choice Account

 

COLLEGE RETIREMENT EQUITIES FUND

SOCIAL CHOICE ACCOUNT

SCHEDULE OF INVESTMENTS (unaudited)

September 30, 2020

 

PRINCIPAL      ISSUER  REFERENCE
RATE & SPREAD
  RATE  MATURITY
DATE
  VALUE
(000)
 
BANK LOAN OBLIGATIONS - 0.1%                
                         
TECHNOLOGY HARDWARE & EQUIPMENT - 0.0%             
$3,458,581   i  MTS Systems Corp  LIBOR 1 M + 3.250%   4.000%  07/05/23  $3,407 
        TOTAL TECHNOLOGY HARDWARE & EQUIPMENT           3,407 
                         
TRANSPORTATION - 0.0%                
 2,326,669   i  Delta Air Lines, Inc  LIBOR 3 M + 4.750%   5.750   05/01/23   2,321 
        TOTAL TRANSPORTATION              2,321 
                         
UTILITIES - 0.1%                
 5,172,976   i  ExGen Renewables IV LLC  LIBOR 3 M + 3.000%   4.000   11/28/24   5,158 
        TOTAL UTILITIES              5,158 
                         
        TOTAL BANK LOAN OBLIGATIONS           10,886 
        (Cost $10,871)                
                         
BONDS - 39.5%                   
                         
CORPORATE BONDS - 16.1%                
                         
AUTOMOBILES & COMPONENTS - 0.3%                
 6,675,000      Aptiv plc      5.400   03/15/49   7,545 
 9,600,000   g  BMW US Capital LLC      4.150   04/09/30   11,359 
 5,400,000      BorgWarner, Inc      2.650   07/01/27   5,696 
 2,125,000   g  Harley-Davidson Financial Services, Inc      2.850   01/15/21   2,133 
 8,000,000   g  Harley-Davidson Financial Services, Inc      4.050   02/04/22   8,267 
        TOTAL AUTOMOBILES & COMPONENTS           35,000 
                         
BANKS - 2.3%                
 13,750,000      Bank of America Corp      0.981   09/25/25   13,747 
 14,025,000      Bank of America Corp      2.456   10/22/25   14,790 
 13,499,000   g  BNP Paribas S.A.      2.219   06/09/26   13,921 
 10,500,000   g  BNP Paribas S.A.      2.588   08/12/35   10,189 
 21,375,000   g  BPCE S.A.      1.652   10/06/26   21,379 
 10,000,000      Citigroup, Inc      1.678   05/15/24   10,243 
 10,250,000      Citizens Bank NA      2.250   04/28/25   10,886 
 3,800,000      Citizens Bank NA      3.750   02/18/26   4,360 
 9,075,000      Citizens Financial Group, Inc      3.250   04/30/30   10,011 
 4,950,000      Cooperatieve Rabobank UA      3.750   07/21/26   5,512 
 14,850,000   g  Credit Agricole S.A.      1.907   06/16/26   15,184 
 6,051,000   g  ING Groep NV      4.625   01/06/26   7,095 
 16,025,000   g  ING Groep NV      1.400   07/01/26   16,204 
 6,200,000   g  Intesa Sanpaolo S.p.A      6.500   02/24/21   6,328 
 2,714,000   g  Intesa Sanpaolo S.p.A      3.375   01/12/23   2,818 
 1,825,000   g  Intesa Sanpaolo S.p.A      5.017   06/26/24   1,918 
 9,750,000   g  Intesa Sanpaolo S.p.A      3.250   09/23/24   10,293 
378

COLLEGE RETIREMENT EQUITIES FUND - Social Choice Account

 

          REFERENCE      MATURITY  VALUE 
PRINCIPAL      ISSUER  RATE & SPREAD  RATE  DATE  (000) 
$2,375,000   g  Intesa Sanpaolo S.p.A      5.710%  01/15/26  $2,589 
 7,200,000   g  Intesa Sanpaolo S.p.A      4.000   09/23/29   7,842 
 5,525,000   g  Intesa Sanpaolo S.p.A      4.700   09/23/49   6,176 
 9,150,000      KeyCorp      2.250   04/06/27   9,678 
 2,375,000      KeyCorp      2.550   10/01/29   2,523 
 4,000,000      Lloyds Banking Group plc      4.500   11/04/24   4,367 
 9,494,000      Lloyds Banking Group plc      3.870   07/09/25   10,338 
 11,250,000   i  M&T Bank Corp  LIBOR 3 M + 0.680%   0.925   07/26/23   11,343 
 285,000      Manufacturers & Traders Trust Co      2.900   02/06/25   311 
 3,425,000      Manufacturers & Traders Trust Co      3.400   08/17/27   3,830 
 10,000,000      Mitsubishi UFJ Financial Group, Inc      2.527   09/13/23   10,577 
 5,925,000   i  Mizuho Financial Group, Inc  LIBOR 3 M + 0.630%   0.880   05/25/24   5,921 
 6,125,000      National Australia Bank Ltd      3.625   06/20/23   6,630 
 11,125,000   e,g  National Australia Bank Ltd      2.332   08/21/30   10,997 
 10,250,000      People’s United Bank NA      4.000   07/15/24   10,952 
 18,057,000      People’s United Financial, Inc      3.650   12/06/22   19,051 
 9,600,000   e  Regions Financial Corp      5.750   N/A‡   10,248 
 2,790,000      Royal Bank of Scotland Group plc      2.359   05/22/24   2,863 
 7,275,000      Sumitomo Mitsui Financial Group, Inc     1.474   07/08/25   7,407 
 17,785,000      SVB Financial Group      3.500   01/29/25   19,136 
 4,350,000      SVB Financial Group      3.125   06/05/30   4,854 
 7,000,000      Truist Financial Corp      3.875   03/19/29   8,027 
 5,000,000      Truist Financial Corp      4.950   N/A‡   5,262 
 11,375,000   g  UniCredit S.p.A      2.569   09/22/26   11,235 
 2,000,000   g  USAA Capital Corp      2.125   05/01/30   2,106 
        TOTAL BANKS              369,141 
                         
CAPITAL GOODS - 0.6%                
 7,564,000      3M Co      2.000   02/14/25   8,025 
 10,450,000   g  Carrier Global Corp      2.700   02/15/31   10,879 
 6,250,000      CNH Industrial Capital LLC      3.875   10/15/21   6,420 
 4,800,000      CNH Industrial Capital LLC      4.200   01/15/24   5,157 
 10,650,000      GATX Corp      4.000   06/30/30   12,260 
 4,000,000      Ingersoll-Rand Luxembourg Finance S.A.      3.550   11/01/24   4,418 
 3,175,000      Ingersoll-Rand Luxembourg Finance S.A.     3.500   03/21/26   3,551 
 8,975,000      Ingersoll-Rand Luxembourg Finance S.A.     3.800   03/21/29   10,516 
 4,150,000   e  Johnson Controls International plc      1.750   09/15/30   4,185 
 10,000,000   e,g  NBM US Holdings, Inc      6.625   08/06/29   10,712 
 4,975,000      Parker-Hannifin Corp      4.200   11/21/34   6,072 
 7,000,000   g  Siemens Financieringsmaatschappij NV     2.350   10/15/26   7,508 
 7,375,000      Xylem, Inc      1.950   01/30/28   7,680 
 3,575,000      Xylem, Inc      2.250   01/30/31   3,788 
        TOTAL CAPITAL GOODS              101,171 
                         
CONSUMER DURABLES & APPAREL - 0.1%                
 8,700,000      VF Corp      2.800   04/23/27   9,499 
        TOTAL CONSUMER DURABLES & APPAREL           9,499 
                         
CONSUMER SERVICES - 0.7%                
 3,125,000      Conservation Fund      3.474   12/15/29   3,376 
 10,000,000      Henry J Kaiser Family Foundation      3.356   12/01/25   10,629 
 5,145,000      Low Income Investment Fund      3.711   07/01/29   5,651 
 3,440,000      Nature Conservancy      1.331   02/01/24   3,416 
379

COLLEGE RETIREMENT EQUITIES FUND - Social Choice Account

 

          REFERENCE      MATURITY  VALUE 
PRINCIPAL      ISSUER  RATE & SPREAD  RATE  DATE  (000) 
$17,500,000      New York Public Library Astor Lenox & Tilden Foundations      4.305%  07/01/45  $19,005 
 4,060,000      Salvation Army      5.637   09/01/26   4,878 
 20,000,000      Salvation Army      4.528   09/01/48   22,154 
 12,300,000      Starbucks Corp      2.450   06/15/26   13,327 
 9,500,000      Starbucks Corp      4.450   08/15/49   11,518 
 11,440,000      Wisconsin Alumni Research Foundation      3.564   10/01/49   12,520 
 11,065,000      YMCA of Greater New York      5.151   08/01/48   12,552 
        TOTAL CONSUMER SERVICES              119,026 
                         
DIVERSIFIED FINANCIALS - 1.6%                
 8,680,000      AXA Equitable Holdings, Inc      5.000   04/20/48   10,239 
 3,300,000      Bank of New York Mellon Corp      4.700   N/A‡   3,501 
 11,500,000      Century Housing Corp      3.995   11/01/21   11,583 
 9,220,000      Community Preservation Corp      2.867   02/01/30   9,868 
 9,500,000   g  EDP Finance BV      5.250   01/14/21   9,620 
 11,625,000   g  EDP Finance BV      3.625   07/15/24   12,643 
 4,750,000      Enterprise Community Loan Fund, Inc     4.152   11/01/28   4,898 
 10,115,000      Equitable Holdings, Inc      4.950   N/A‡   10,317 
 15,000,000      Ford Foundation      2.815   06/01/70   15,597 
 2,300,000      Legg Mason, Inc      3.950   07/15/24   2,544 
 7,100,000      Morgan Stanley      2.188   04/28/26   7,432 
 10,000,000   g  NongHyup Bank      1.250   07/20/25   10,086 
 680,000      Reinvestment Fund, Inc      3.377   02/15/22   689 
 1,457,000      Reinvestment Fund, Inc      3.166   11/01/23   1,481 
 3,000,000      Reinvestment Fund, Inc      3.600   02/15/24   3,096 
 10,250,000      Reinvestment Fund, Inc      3.366   11/01/24   10,551 
 2,570,000      Reinvestment Fund, Inc      3.513   11/01/25   2,674 
 15,240,000      Reinvestment Fund, Inc      3.880   02/15/27   16,173 
 10,435,000      Reinvestment Fund, Inc      3.930   02/15/28   11,163 
 12,500,000      State Street Corp      2.354   11/01/25   13,229 
 5,300,000   g  Swiss Re Finance Luxembourg SA      5.000   04/02/49   6,040 
 9,000,000   i  Toronto-Dominion Bank  SOFR + 0.450%   0.520   09/28/23   9,003 
 10,000,000      Toyota Motor Credit Corp      2.150   02/13/30   10,532 
 7,775,000   g  UBS Group AG.      1.008   07/30/24   7,792 
 14,700,000   g  UBS Group AG.      1.364   01/30/27   14,689 
 11,075,000   e  Unilever Capital Corp      2.000   07/28/26   11,837 
 5,523,000      Unilever Capital Corp      2.125   09/06/29   5,840 
 6,125,000      Unilever Capital Corp      1.375   09/14/30   6,164 
 1,925,000   g  WLB Asset II Pte Ltd      4.000   01/14/24   1,914 
        TOTAL DIVERSIFIED FINANCIALS           241,195 
                         
ENERGY - 1.1%                
 10,500,000   g  Aker BP ASA      2.875   01/15/26   10,396 
 13,825,000   g  Aker BP ASA      4.000   01/15/31   13,633 
 6,075,000      Chevron Corp      1.995   05/11/27   6,422 
 5,500,000      Chevron Corp      2.236   05/11/30   5,832 
 6,479,363   g  Continental Wind LLC      6.000   02/28/33   7,568 
 9,625,000      Enbridge, Inc      2.500   01/15/25   10,141 
 5,830,000      Enbridge, Inc      5.750   07/15/80   6,033 
 4,450,000      EOG Resources, Inc      5.100   01/15/36   5,131 
 4,500,000      Equinor ASA      2.650   01/15/24   4,793 
 8,125,000      Equinor ASA      2.375   05/22/30   8,586 
 5,932,000      Equinor ASA      3.950   05/15/43   6,904 
380

COLLEGE RETIREMENT EQUITIES FUND - Social Choice Account

 

          REFERENCE      MATURITY  VALUE 
PRINCIPAL      ISSUER  RATE & SPREAD  RATE  DATE  (000) 
$8,100,000      Equinor ASA      3.250%  11/18/49  $8,616 
 6,850,000   g  Greenko Dutch BV      4.875   07/24/22   6,853 
 3,875,000      ONEOK, Inc      4.000   07/13/27   4,033 
 12,175,000      ONEOK, Inc      6.350   01/15/31   14,163 
 6,200,000      ONEOK, Inc      4.950   07/13/47   5,885 
 18,000,000   g  TerraForm Power Operating LLC      5.000   01/31/28   19,704 
 12,850,000      Total Capital International S.A.      2.986   06/29/41   13,386 
 6,316,000      Total Capital International S.A.      3.127   05/29/50   6,524 
 10,750,000   i  Valero Energy Corp  LIBOR 3 M + 1.150%   1.403   09/15/23   10,713 
        TOTAL ENERGY              175,316 
                         
FOOD, BEVERAGE & TOBACCO - 0.1%                
 9,200,000      Coca-Cola Co      1.750   09/06/24   9,640 
 6,375,000      Coca-Cola Co      2.600   06/01/50   6,512 
 4,500,000      PepsiCo, Inc      2.875   10/15/49   4,826 
        TOTAL FOOD, BEVERAGE & TOBACCO           20,978 
                         
HEALTH CARE EQUIPMENT & SERVICES - 0.1%               
 16,350,000      Becton Dickinson & Co      2.823   05/20/30   17,620 
        TOTAL HEALTH CARE EQUIPMENT & SERVICES           17,620 
                         
HOUSEHOLD & PERSONAL PRODUCTS - 0.1%                
 7,125,000      Kimberly-Clark Corp      2.875   02/07/50   7,899 
 5,300,000      Procter & Gamble Co      3.000   03/25/30   6,144 
 3,350,000      Procter & Gamble Co      3.550   03/25/40   4,072 
 3,150,000      Procter & Gamble Co      3.600   03/25/50   3,991 
        TOTAL HOUSEHOLD & PERSONAL PRODUCTS           22,106 
                         
INSURANCE - 1.0%                
 5,350,000   g  AIA Group Ltd      3.375   04/07/30   5,998 
 4,100,000   g  AIA Group Ltd      3.200   09/16/40   4,234 
 18,650,000      Chubb INA Holdings, Inc      1.375   09/15/30   18,383 
 3,750,000      CNA Financial Corp      2.050   08/15/30   3,716 
 6,400,000   g  Empower Finance 2020 LP      1.357   09/17/27   6,378 
 5,750,000   g  Empower Finance 2020 LP      1.776   03/17/31   5,746 
 10,500,000   g  Equitable Financial Life Global Funding      1.400   08/27/27   10,533 
 15,675,000   g  Five Corners Funding Trust II      2.850   05/15/30   16,907 
 4,700,000   g  Great-West Lifeco US Finance 2020 LP      0.904   08/12/25   4,688 
 20,000,000      Principal Financial Group, Inc      2.125   06/15/30   20,588 
 2,475,000      Prudential Financial, Inc      1.500   03/10/26   2,578 
 15,000,000      Prudential Financial, Inc      5.200   03/15/44   15,887 
 4,265,000      Prudential Financial, Inc      3.700   10/01/50   4,352 
 6,100,000      Reinsurance Group of America, Inc      3.150   06/15/30   6,641 
 18,222,000   g  Swiss Re Treasury US Corp      2.875   12/06/22   18,715 
 14,024,000   g  Swiss Re Treasury US Corp      4.250   12/06/42   17,319 
 2,075,000      Travelers Cos, Inc      2.550   04/27/50   2,031 
        TOTAL INSURANCE              164,694 
                         
MATERIALS - 1.0%                
 10,625,000   g  Air Liquide Finance S.A.      2.250   09/10/29   11,300 
 7,250,000   g  Celulosa Arauco y Constitucion S.A.      4.200   01/29/30   7,676 
 10,000,000   g  Celulosa Arauco y Constitucion S.A.      5.150   01/29/50   10,590 
 4,800,000      Commercial Metals Co      5.750   04/15/26   4,992 
381

COLLEGE RETIREMENT EQUITIES FUND - Social Choice Account

 

                 MATURITY  VALUE 
PRINCIPAL      ISSUER     RATE  DATE  (000) 
$10,775,000      DuPont de Nemours, Inc      2.169%  05/01/23  $10,875 
 14,000,000      Ecolab, Inc      1.300   01/30/31   13,697 
 13,500,000      Ecolab, Inc      2.125   08/15/50   12,358 
 10,500,000      Fibria Overseas Finance Ltd      5.500   01/17/27   11,865 
 5,000,000      International Paper Co      6.000   11/15/41   6,888 
 4,600,000      International Paper Co      4.800   06/15/44   5,708 
 17,000,000   e,g  Inversiones CMPC S.A.      4.375   04/04/27   18,934 
 10,000,000   g  Klabin Austria GmbH      7.000   04/03/49   11,325 
 8,125,000   e,g  Klabin Finance S.A.      4.875   09/19/27   8,674 
EUR 2,500,000   g  LG Chem Ltd      0.500   04/15/23   2,932 
$3,250,000   g  LG Chem Ltd      3.625   04/15/29   3,605 
 5,000,000      Newmont Corp      2.250   10/01/30   5,157 
 12,736,000   g  Teck Resources Ltd      3.900   07/15/30   13,317 
        TOTAL MATERIALS                  159,893 
                         
MEDIA & ENTERTAINMENT - 0.3%                
 16,025,000      Alphabet, Inc      0.450   08/15/25   15,928 
 10,000,000      Alphabet, Inc      1.100   08/15/30   9,901 
 4,411,000   g  Discovery Communications LLC      4.000   09/15/55   4,452 
 5,650,000   g  Nutrition & Biosciences, Inc      1.832   10/15/27   5,674 
 6,350,000   g  Nutrition & Biosciences, Inc      3.268   11/15/40   6,386 
 2,320,000      Smithsonian Institution      2.645   09/01/39   2,394 
        TOTAL MEDIA & ENTERTAINMENT               44,735 
                         
PHARMACEUTICALS, BIOTECHNOLOGY & LIFE SCIENCES - 0.9%             
 12,674,000   g  AbbVie, Inc      2.300   11/21/22   13,115 
 10,000,000   e  Gilead Sciences, Inc      0.750   09/29/23   10,020 
 6,275,000      Gilead Sciences, Inc      1.200   10/01/27   6,285 
 5,625,000      Gilead Sciences, Inc      2.600   10/01/40   5,612 
 15,400,000      Gilead Sciences, Inc      2.800   10/01/50   15,191 
 8,650,000      GlaxoSmithKline Capital, Inc      3.625   05/15/25   9,823 
 18,450,000      Merck & Co, Inc      0.750   02/24/26   18,506 
 9,075,000      Merck & Co, Inc      1.450   06/24/30   9,201 
 15,600,000      Merck & Co, Inc      2.350   06/24/40   15,831 
 13,700,000      Merck & Co, Inc      2.450   06/24/50   13,627 
 10,000,000      Takeda Pharmaceutical Co Ltd      2.050   03/31/30   10,128 
 12,125,000      Takeda Pharmaceutical Co Ltd      3.175   07/09/50   12,411 
        TOTAL PHARMACEUTICALS, BIOTECHNOLOGY & LIFE SCIENCES    139,750 
                         
REAL ESTATE - 0.8%                  
 7,250,000      Boston Properties LP      3.250   01/30/31   7,808 
 1,975,000      Brandywine Operating Partnership LP     3.950   02/15/23   2,043 
 4,300,000      Brandywine Operating Partnership LP     3.950   11/15/27   4,461 
 9,095,000      Brixmor Operating Partnership LP      3.900   03/15/27   9,620 
 15,625,000   h  Equinix, Inc      1.000   09/15/25   15,479 
 2,350,000      Equinix, Inc      1.800   07/15/27   2,370 
 3,500,000      Federal Realty Investment Trust      2.750   06/01/23   3,632 
 6,425,000   g  HAT Holdings I LLC      5.250   07/15/24   6,695 
 1,975,000   g  HAT Holdings I LLC      6.000   04/15/25   2,104 
 10,000,000   g  HAT Holdings I LLC      3.750   09/15/30   10,025 
 3,750,000      Host Hotels & Resorts LP      3.375   12/15/29   3,504 
 2,000,000      Host Hotels & Resorts LP      3.500   09/15/30   1,918 
 11,075,000      Kilroy Realty LP      3.450   12/15/24   11,685 
 6,700,000      Kilroy Realty LP      4.750   12/15/28   7,773 
382

COLLEGE RETIREMENT EQUITIES FUND - Social Choice Account

 

                 MATURITY  VALUE 
PRINCIPAL      ISSUER     RATE  DATE  (000) 
$3,940,000      Life Storage LP      2.200%  10/15/30  $3,933 
 16,822,000      Regency Centers LP      3.750   06/15/24   17,882 
 10,155,000   g  Scentre Group Trust 2      5.125   09/24/80   9,970 
 10,825,000      Welltower, Inc      2.750   01/15/31   11,116 
        TOTAL REAL ESTATE                  132,018 
                         
RETAILING - 0.1%                  
 4,100,000      Advance Auto Parts, Inc      1.750   10/01/27   4,083 
 7,800,000      Chevron USA, Inc      2.343   08/12/50   7,276 
 3,150,000      Lowe’s Cos, Inc      5.000   04/15/40   4,126 
        TOTAL RETAILING                  15,485 
                         
SEMICONDUCTORS & SEMICONDUCTOR EQUIPMENT - 0.0%             
 5,325,000   g  NXP BV      3.400   05/01/30   5,825 
        TOTAL SEMICONDUCTORS & SEMICONDUCTOR EQUIPMENT          5,825 
                         
SOFTWARE & SERVICES - 0.4%                
 10,000,000      Automatic Data Processing, Inc     1.250   09/01/30   9,851 
 7,500,000      Visa, Inc      1.900   04/15/27   7,957 
 10,000,000      Visa, Inc      0.750   08/15/27   9,918 
 17,000,000      Visa, Inc      1.100   02/15/31   16,633 
 12,425,000      Visa, Inc      2.000   08/15/50   11,457 
        TOTAL SOFTWARE & SERVICES               55,816 
                         
TECHNOLOGY HARDWARE & EQUIPMENT - 0.1%               
 14,250,000      Apple, Inc      3.000   06/20/27   16,068 
        TOTAL TECHNOLOGY HARDWARE & EQUIPMENT              16,068 
                         
TRANSPORTATION - 0.5%                
 5,350,000      Canadian Pacific Railway Co      2.050   03/05/30   5,575 
 1,665,391      Delta Air Lines, Inc      4.250   07/30/23   1,532 
 7,150,000      Delta Air Lines, Inc      3.204   04/25/24   7,124 
 7,825,000      Delta Air Lines, Inc      2.900   10/28/24   6,964 
 6,250,000   g  Delta Air Lines, Inc      7.000   05/01/25   6,861 
 7,950,000      Delta Air Lines, Inc      7.375   01/15/26   8,333 
 5,000,000      Delta Air Lines, Inc      2.000   06/10/28   4,831 
 13,800,000      Delta Air Lines, Inc      2.500   06/10/28   12,395 
 4,850,000      Delta Air Lines, Inc      3.750   10/28/29   4,135 
 7,000,000      Kansas City Southern      4.300   05/15/43   7,382 
 15,925,000      Kansas City Southern      4.950   08/15/45   17,722 
 475,000      Norfolk Southern Corp      5.590   05/17/25   567 
 1,360,000      United Parcel Service of America, Inc (Step Bond)   7.620   04/01/30   2,036 
        TOTAL TRANSPORTATION                  85,457 
                         
UTILITIES - 4.0%                  
 14,500,000   g  AES Gener S.A.      6.350   10/07/79   14,627 
 3,925,000      American Water Capital Corp      2.800   05/01/30   4,296 
 4,375,000      Arizona Public Service Co      3.750   05/15/46   4,981 
 14,950,000      Avangrid, Inc      3.200   04/15/25   16,451 
 13,200,000      Avangrid, Inc      3.800   06/01/29   15,238 
 10,275,000      Avista Corp      4.350   06/01/48   12,956 
 700,000   g  Azure Power Energy Ltd      5.500   11/03/22   713 
 5,900,000   g  Azure Power Solar Energy Pvt Ltd      5.650   12/24/24   6,127 
383

COLLEGE RETIREMENT EQUITIES FUND - Social Choice Account

 

                 MATURITY  VALUE 
PRINCIPAL      ISSUER     RATE  DATE  (000) 
$9,750,000   g  Brooklyn Union Gas Co      4.273%  03/15/48  $12,163 
 13,500,000   g  Brooklyn Union Gas Co      4.487   03/04/49   17,312 
 2,225,000      CenterPoint Energy Houston Electric LLC   2.900   07/01/50   2,383 
 3,000,000      Clearway Energy Operating LLC      5.750   10/15/25   3,157 
 3,550,000      CMS Energy Corp      4.750   06/01/50   3,760 
 2,000,000      Connecticut Light & Power Co      5.750   03/01/37   2,725 
 7,525,000   g  Consorcio Transmantaro SA      4.700   04/16/34   8,898 
 4,200,000      Consumers Energy Co      2.500   05/01/60   3,936 
 8,850,000      Dominion Energy Gas Holdings LLC   2.500   11/15/24   9,405 
 7,110,000      Dominion Energy, Inc      3.600   03/15/27   8,084 
 4,850,000      Dominion Energy, Inc (Step Bond)   3.071   08/15/24   5,214 
 8,787,000      DTE Electric Co      3.950   03/01/49   11,062 
 10,750,000      Duke Energy Florida LLC      2.500   12/01/29   11,662 
 3,350,000   g  East Ohio Gas Co      1.300   06/15/25   3,414 
 3,100,000   g  East Ohio Gas Co      2.000   06/15/30   3,208 
 22,750,000   g  Electricite de France S.A.      3.625   10/13/25   25,473 
 10,000,000      Essential Utilities, Inc      2.704   04/15/30   10,693 
 13,750,000      Essential Utilities, Inc      3.351   04/15/50   14,662 
 2,800,000      Eversource Energy      0.800   08/15/25   2,785 
 2,050,000      Florida Power & Light Co      2.850   04/01/25   2,248 
 9,885,000   e  Georgia Power Co      3.250   04/01/26   10,953 
 14,000,000   g  Hanwha Energy USA Holdings Corp   2.375   07/30/22   14,389 
 2,745,000      International Transmission Co     4.625   08/15/43   3,410 
 24,325,000   g  Korea Hydro & Nuclear Power Co Ltd   3.750   07/25/23   26,370 
 4,000,000      MidAmerican Energy Co      3.100   05/01/27   4,482 
 2,375,000      MidAmerican Energy Co      3.650   04/15/29   2,828 
 1,000,000      MidAmerican Energy Co      3.950   08/01/47   1,252 
 4,250,000      MidAmerican Energy Co      3.150   04/15/50   4,698 
 4,300,000   g  Narragansett Electric Co      3.919   08/01/28   4,987 
 12,350,000      National Fuel Gas Co      5.500   01/15/26   13,479 
 3,225,000   g  NextEra Energy Operating Partners LP   4.250   07/15/24   3,363 
 2,050,000   g  NextEra Energy Operating Partners LP   4.250   09/15/24   2,137 
 3,000,000   g  Niagara Mohawk Power Corp   1.960   06/27/30   3,085 
 9,732,000   g  Niagara Mohawk Power Corp   4.278   10/01/34   12,009 
 9,750,000   g  Niagara Mohawk Power Corp   4.119   11/28/42   11,892 
 7,350,000      NorthWestern Corp      4.176   11/15/44   8,622 
 5,425,000      Oklahoma Gas & Electric Co      3.250   04/01/30   6,075 
 1,925,000   g  Pattern Energy Operations LP     4.500   08/15/28   1,997 
 8,425,000   g  Protective Life Global Funding     1.082   06/09/23   8,544 
 13,050,000      PSEG Power LLC      3.850   06/01/23   14,040 
 630,000      Public Service Co of Colorado   4.750   08/15/41   812 
 5,000,000      Public Service Co of Colorado     3.200   03/01/50   5,674 
 2,975,000      Public Service Co of New Hampshire   3.600   07/01/49   3,459 
 19,475,000      Public Service Enterprise Group, Inc   0.800   08/15/25   19,342 
 19,350,000      Public Service Enterprise Group, Inc   1.600   08/15/30   19,029 
 14,250,000   e  Sempra Energy      4.875   N/A‡   14,642 
 23,287,997   g  Solar Star Funding LLC      3.950   06/30/35   24,211 
 21,754,530   g  Solar Star Funding LLC      5.375   06/30/35   25,394 
 25,000,000      Southern Power Co      4.150   12/01/25   28,661 
 2,200,000      Southwest Gas Corp      2.200   06/15/30   2,300 
 7,025,000      Southwestern Public Service Co      3.750   06/15/49   8,273 
 5,400,000      Southwestern Public Service Co      3.150   05/01/50   5,810 
 28,207,700   g  Star Energy Geothermal Wayang Windu Ltd   6.750   04/24/33   31,031 
 14,048,825   g  Topaz Solar Farms LLC      4.875   09/30/39   15,531 
384

COLLEGE RETIREMENT EQUITIES FUND - Social Choice Account

 

          REFERENCE      MATURITY  VALUE 
PRINCIPAL      ISSUER  RATE & SPREAD  RATE  DATE  (000) 
$10,886,258   g  Topaz Solar Farms LLC      5.750%  09/30/39  $12,684 
 8,000,000      Tucson Electric Power Co      1.500   08/01/30   7,924 
 19,650,000   e  Westar Energy, Inc      2.550   07/01/26   21,292 
        TOTAL UTILITIES                  642,314 
                         
        TOTAL CORPORATE BONDS             2,573,107 
        (Cost $2,430,037)                
                         
GOVERNMENT BONDS -  20.0%                  
                           
AGENCY SECURITIES - 1.7%                  
 4,393,000      Canal Barge Co, Inc      4.500   11/12/34   5,102 
 1,319,904      DY7 Leasing LLC      2.578   12/10/25   1,383 
 7,577,968      Ethiopian Leasing LLC      2.566   08/14/26   8,040 
 11,250,000      Federal Home Loan Mortgage Corp (FHLMC)       0.125   07/25/22   11,244 
 23,000,000      FHLMC      0.375   05/05/23   23,097 
 8,000,000      Federal National Mortgage Association (FNMA)       0.625   04/22/25   8,107 
 18,880,000      FNMA      0.875   08/05/30   18,568 
 5,950,000      Hashemite Kingdom of Jordan Government AID International Bond       3.000   06/30/25   6,624 
 2,960,000   g  Hospital for Special Surgery      3.500   01/01/23   3,045 
 4,875,000   i  India Government AID Bond  LIBOR 3 M + 0.100%   0.351   02/01/27   4,785 
 3,625,000      Lutheran Medical Center      1.982   02/20/30   3,771 
 2,705,000   g  Montefiore Medical Center      3.896   05/20/27   2,735 
 17,760,000      Montefiore Medical Center      2.895   04/20/32   19,257 
 14,065,000      New York Society for the Relief of the Ruptured & Crippled       2.881   12/20/31   14,884 
 2,649,229     Overseas Private Investment Corp (OPIC)       0.000   07/17/21   2,856 
 1,180,644      OPIC      2.040   12/15/26   1,223 
 13,130,880      OPIC      3.220   09/15/29   14,874 
 11,817,793      OPIC      3.280   09/15/29   13,421 
 6,000,000      OPIC      1.790   10/15/29   6,327 
 18,750,000      OPIC      2.360   10/15/29   20,431 
 2,250,544      OPIC      2.610   04/15/30   2,455 
 3,120,750      OPIC      2.930   05/15/30   3,487 
 5,157,450      OPIC      3.040   05/15/30   5,798 
 5,735,389      OPIC      3.540   06/15/30   6,560 
 14,992,534      OPIC      3.370   12/15/30   17,047 
 1,029,852      OPIC      2.810   07/31/33   1,166 
 1,647,762      OPIC      2.940   07/31/33   1,880 
 5,400,000      OPIC      2.450   07/15/38   6,043 
 4,000,000      Private Export Funding Corp (PEFCO)      3.550   01/15/24   4,338 
 8,000,000      PEFCO      3.250   06/15/25   8,940 
 695,232      Tayarra Ltd      3.628   02/15/22   710 
 620,193      Tricahue Leasing LLC      3.503   11/19/21   632 
 8,750,000      United States International Development Finance Corp      1.630   07/15/38   9,101 
 6,580,000      UNM Sandoval Regional Medical Center      4.500   07/20/36   6,656 
 1,900,000      US Department of Housing and Urban Development (HUD)      5.050   08/01/21   1,932 
 3,217,000      HUD      2.910   08/01/23   3,286 
 5,000,000      HUD      3.535   08/01/36   5,740 
        TOTAL AGENCY SECURITIES                   275,545 
385

COLLEGE RETIREMENT EQUITIES FUND - Social Choice Account

 

          REFERENCE      MATURITY  VALUE 
PRINCIPAL      ISSUER  RATE & SPREAD  RATE  DATE  (000) 
FOREIGN GOVERNMENT BONDS - 3.2%                
$4,000,000      African Development Bank      3.000%  12/06/21  $4,130 
 12,750,000      African Development Bank      0.750   04/03/23   12,905 
 9,500,000      Asian Development Bank      2.125   03/19/25   10,220 
 6,500,000      Asian Development Bank      1.750   08/14/26   6,947 
 14,000,000      Asian Development Bank      3.125   09/26/28   16,616 
 12,400,000   g  BNG Bank NV      2.625   02/27/24   13,338 
 10,000,000   g  Caisse d’Amortissement de la Dette Sociale       0.375   09/23/25   9,931 
 9,000,000      Chile Government International Bond       3.500   01/25/50   10,260 
 9,925,000   g  Egypt Government International Bond       5.250   10/06/25   9,902 
 12,750,000      European Bank for Reconstruction & Development       1.875   07/15/21   12,913 
 19,500,000      European Bank for Reconstruction & Development       1.625   09/27/24   20,479 
 3,750,000   e  European Investment Bank      2.375   05/24/27   4,179 
 11,600,000      European Investment Bank      1.625   10/09/29   12,425 
 2,000,000      European Investment Bank      4.875   02/15/36   3,016 
 1,925,000   g  Guatemala Government International Bond       5.375   04/24/32   2,208 
 6,082,000      Hydro Quebec      8.400   01/15/22   6,692 
 20,000,000   i  Inter-American Development Bank  LIBOR 3 M + 0.010%   0.285   01/15/22   19,988 
 11,000,000      International Bank for Reconstruction & Development       0.625   04/22/25   11,099 
 19,250,000      International Bank for Reconstruction & Development       3.125   11/20/25   21,840 
 27,150,000   e,g  International Development Association       2.750   04/24/23   28,835 
 46,500,000      International Finance Corp      1.546   11/04/21   46,918 
 7,375,000      International Finance Corp      0.500   03/20/23   7,412 
 33,500,000      International Finance Corp      2.125   04/07/26   36,451 
 5,000,000      Japan Bank for International Cooperation       1.875   04/20/21   5,043 
 12,500,000   g  Kommunalbanken AS.      2.125   02/11/25   13,403 
 8,750,000   i  Korea Development Bank International Bond  LIBOR 3 M + 0.725%   1.029   07/06/22   8,805 
 10,100,000   g  Korea Electric Power Corp      1.125   06/15/25   10,149 
 13,000,000      Landwirtschaftliche Rentenbank     0.875   09/03/30   12,994 
 3,000,000   g  Nacional Financiera SNC      3.375   11/05/20   3,001 
 18,250,000   g  Nederlandse Waterschapsbank NV     1.750   01/15/25   19,236 
 19,000,000   g  Nederlandse Waterschapsbank NV      2.375   03/24/26   20,797 
 6,708,000      North American Development Bank     2.400   10/26/22   6,938 
 22,800,000   g  Perusahaan Penerbit SBSN Indonesia III     3.750   03/01/23   24,198 
 10,500,000   g  Perusahaan Penerbit SBSN Indonesia III     3.900   08/20/24   11,532 
 12,700,000      Province of Manitoba Canada   3.050   05/14/24   13,820 
 10,000,000      Province of Quebec Canada      2.750   04/12/27   11,197 
 5,000,000      Province of Quebec Canada      7.500   09/15/29   7,668 
 10,000,000      Republic of Italy Government International Bond     2.875   10/17/29   10,351 
 7,750,000      Republic of Italy Government International Bond     4.000   10/17/49   8,312 
        TOTAL FOREIGN GOVERNMENT BONDS                 516,148 
                         
MORTGAGE BACKED - 8.9%                
 18,700,000      Federal Home Loan Mortgage Corp (FHLMC)     0.250   08/24/23   18,702 
 13,650,000      FHLMC      0.250   09/08/23   13,659 
 2,600,000      FHLMC      3.000   10/15/33   2,902 
 6,437,513      FHLMC      3.500   08/15/43   6,643 
 3,229,735      FHLMC      3.500   03/15/44   3,540 
 2,190,049   i  FHLMC      5.768   03/15/44   418 
 6,311,511      FHLMC      4.000   10/01/47   6,986 
 4,342,930      FHLMC      4.000   06/01/48   4,752 
 6,770,123   i  FHLMC      9.676   06/15/48   8,508 
386

COLLEGE RETIREMENT EQUITIES FUND - Social Choice Account

 

                 MATURITY  VALUE 
PRINCIPAL      ISSUER     RATE  DATE  (000) 
$6,766,259      FHLMC      4.000%  07/01/48  $7,443 
 5,001,843   i  FHLMC      9.596   10/15/48   6,362 
 16,306,601      FHLMC      3.000   11/01/49   17,346 
 1,094      Federal Home Loan Mortgage Corp Gold (FGLMC)   7.000   05/01/23   1 
 10,923      FGLMC      8.000   01/01/31   11 
 182,472      FGLMC      4.500   07/01/33   201 
 1,267,692      FGLMC      7.000   12/01/33   1,484 
 344,580      FGLMC      7.000   05/01/35   400 
 880,063      FGLMC      5.000   06/01/36   1,012 
 273,216      FGLMC      5.000   07/01/39   315 
 495,809      FGLMC      4.500   10/01/44   554 
 494,382      FGLMC      4.500   11/01/44   552 
 823,394      FGLMC      4.500   11/01/44   919 
 347,311      FGLMC      4.500   12/01/44   382 
 523,514      FGLMC      4.500   12/01/44   585 
 1,775,889      FGLMC      3.500   04/01/45   1,963 
 16,442,537      FGLMC      3.500   10/01/45   18,137 
 7,646,274      FGLMC      4.000   12/01/45   8,497 
 25,684,042      FGLMC      3.500   08/01/46   28,302 
 11,423,238      FGLMC      3.000   02/01/47   11,981 
 919,514      FGLMC      4.500   06/01/47   1,026 
 2,218,593      FGLMC      4.000   09/01/47   2,431 
 1,604,550      FGLMC      3.500   12/01/47   1,758 
 8,778,170      FGLMC      3.500   03/01/48   9,597 
 10,623,751      FGLMC      4.000   03/01/48   11,824 
 2,510,282      FGLMC      4.000   07/01/48   2,762 
 7,674,422      FGLMC      4.500   08/01/48   8,487 
 20,000,000      Federal National Mortgage Association (FNMA)   0.250   07/10/23   19,994 
 7,384      FNMA      8.000   07/01/24   8 
 18,500,000   i  FNMA      2.895   02/25/27   20,528 
 3,500,000   i  FNMA      3.436   06/25/28   4,053 
 2,343,096      FNMA      3.500   05/01/32   2,499 
 3,141,692      FNMA      3.000   10/01/32   3,296 
 48,000,000   h  FNMA      2.500   10/25/32   50,115 
 2,281,350      FNMA      5.000   05/01/35   2,622 
 4,868,559      FNMA      2.500   07/01/35   5,095 
 1,478,380      FNMA      5.000   10/01/35   1,701 
 41,000,000   h  FNMA      2.000   10/25/35   42,602 
 1,114,183      FNMA      5.000   02/01/36   1,282 
 1,644,457      FNMA      5.500   11/01/38   1,910 
 376,769      FNMA      3.000   05/01/40   395 
 1,181,230      FNMA      5.000   09/01/40   1,361 
 1,993,200      FNMA      5.000   05/01/41   2,296 
 1,187,614      FNMA      4.000   09/01/42   1,301 
 1,809,069      FNMA      3.000   04/25/43   1,901 
 3,233,645   i  FNMA      5.802   09/25/43   724 
 676,776      FNMA      4.000   01/01/44   754 
 1,698,218      FNMA      4.500   03/01/44   1,918 
 706,696      FNMA      4.500   06/01/44   790 
 6,864,349      FNMA      4.500   06/01/44   7,669 
 1,608,417      FNMA      4.500   08/01/44   1,797 
 3,923,347      FNMA      4.500   10/01/44   4,383 
 7,514,979      FNMA      4.500   11/01/44   8,386 
 1,482,222      FNMA      5.000   11/01/44   1,703 
 1,871,521      FNMA      4.500   12/01/44   2,091 
 577,935      FNMA      4.000   01/01/45   632 
 8,728,611      FNMA      3.000   02/25/45   9,146 
387

COLLEGE RETIREMENT EQUITIES FUND - Social Choice Account

 

                 MATURITY  VALUE 
PRINCIPAL      ISSUER     RATE  DATE  (000) 
$2,491,157      FNMA      3.000%  02/25/45  $2,565 
 244,824      FNMA      3.500   03/01/45   271 
 180,767      FNMA      3.500   03/01/45   200 
 400,165      FNMA      4.500   03/01/45   447 
 2,653,099      FNMA      3.000   03/25/45   2,749 
 510,761      FNMA      4.500   04/01/45   571 
 7,363,118      FNMA      3.500   04/25/45   7,682 
 3,798,267      FNMA      3.500   05/01/45   4,225 
 1,997,499      FNMA      4.000   12/01/45   2,223 
 16,903,594      FNMA      3.000   12/25/45   17,589 
 5,677,149      FNMA      3.500   01/01/46   6,261 
 7,037,317      FNMA      4.000   01/01/46   7,838 
 7,136,303      FNMA      3.500   06/01/46   7,870 
 4,034,000      FNMA      3.500   07/01/46   4,449 
 6,600,184      FNMA      3.500   07/01/46   7,273 
 1,911,936      FNMA      3.500   08/01/46   2,108 
 1,178,379      FNMA      3.000   10/01/46   1,214 
 5,251,009      FNMA      3.500   10/01/46   5,791 
 8,994,164      FNMA      3.000   11/01/46   9,454 
 4,439,795      FNMA      3.500   12/01/46   4,708 
 14,620,196      FNMA      3.500   01/01/47   15,478 
 2,074,646      FNMA      3.000   04/25/47   2,228 
 2,478,428      FNMA      4.500   05/01/47   2,779 
 789,474      FNMA      3.500   08/01/47   844 
 1,722,505      FNMA      3.500   09/01/47   1,836 
 7,115,410      FNMA      4.000   09/01/47   7,632 
 2,304,555      FNMA      4.000   09/01/47   2,467 
 7,082,124      FNMA      4.000   10/01/47   7,558 
 928,577      FNMA      3.000   11/01/47   956 
 434,179      FNMA      3.500   11/01/47   480 
 612,744      FNMA      4.500   11/01/47   688 
 5,060,873      FNMA      4.000   12/01/47   5,633 
 18,258,784      FNMA      4.000   12/01/47   19,563 
 888,298      FNMA      3.500   01/01/48   977 
 9,386,258      FNMA      3.500   01/01/48   9,923 
 4,419,681      FNMA      4.500   01/01/48   4,974 
 1,333,266      FNMA      3.500   02/01/48   1,411 
 3,471,863      FNMA      4.500   02/01/48   3,906 
 44,574,307      FNMA      3.000   02/25/48   47,376 
 15,685,369      FNMA      3.500   03/01/48   16,588 
 4,241,433      FNMA      4.000   03/01/48   4,690 
 15,019,581      FNMA      4.500   03/01/48   16,863 
 9,286,177      FNMA      3.500   04/01/48   9,817 
 6,306,613      FNMA      4.000   04/01/48   6,734 
 3,030,071      FNMA      4.500   05/01/48   3,402 
 2,235,746      FNMA      4.500   05/01/48   2,495 
 5,813,579      FNMA      5.000   08/01/48   6,590 
 3,317,256     FNMA      0.000   11/25/48   3,075 
 3,317,256      FNMA      3.000   11/25/48   370 
 753,088      FNMA      3.000   08/01/49   820 
 78,000,000   h  FNMA      2.500   10/01/50   81,873 
 32,000,000      FNMA      2.000   10/25/50   33,080 
 62,000,000      FNMA      3.000   10/25/50   64,947 
 53,000,000   h  FNMA      2.000   11/25/50   54,658 
388

COLLEGE RETIREMENT EQUITIES FUND - Social Choice Account

 

                 MATURITY  VALUE 
PRINCIPAL      ISSUER     RATE  DATE  (000) 
$73,000,000   h  FNMA      2.500%  11/25/50  $76,407 
 77,000,000   h  FNMA      3.000   11/25/50   80,679 
 3,683,032      Government National Mortgage Association (GNMA)   2.580   08/15/25   3,832 
 9,667,116      GNMA      2.690   06/15/33   10,351 
 7,912,793      GNMA      3.700   10/15/33   8,736 
 109,516      GNMA      5.000   04/15/38   123 
 187,764      GNMA      6.500   11/20/38   219 
 22,133      GNMA      4.500   02/20/39   26 
 7,700,771      GNMA      3.700   08/15/40   8,311 
 29,890      GNMA      4.500   08/20/41   34 
 102,038      GNMA      4.500   09/20/41   117 
 20,928      GNMA      4.500   01/20/44   24 
 18,493      GNMA      4.500   02/20/44   21 
 47,402      GNMA      4.500   05/20/44   55 
 299,216      GNMA      4.500   05/20/44   344 
 341,758      GNMA      4.500   08/20/44   394 
 220,730      GNMA      4.500   09/20/44   254 
 103,245      GNMA      4.500   10/20/44   114 
 52,200      GNMA      4.500   11/20/44   57 
 211,914      GNMA      4.500   12/20/44   244 
 12,272,835      GNMA      2.750   01/15/45   13,362 
 274,525      GNMA      4.500   02/20/45   310 
 333,673      GNMA      4.500   08/20/45   385 
 340,427      GNMA      4.500   08/20/45   393 
 307,427      GNMA      4.500   12/20/45   354 
 3,617,358      GNMA      4.000   06/20/46   422 
 106,000,000   h  GNMA      3.000   10/20/46   110,985 
 10,856,104      GNMA      3.500   12/20/46   11,547 
 8,038,026      GNMA      3.500   01/20/47   8,582 
 6,193,726      GNMA      3.500   01/20/49   6,785 
 53,000,000   h  GNMA      2.000   10/20/50   55,054 
 69,000,000   h  GNMA      2.500   10/20/50   72,180 
        TOTAL MORTGAGE BACKED                 1,422,294 
                         
MUNICIPAL BONDS - 3.6%          
 4,500,000   g  Basin Electric Power Coop      6.127   06/01/41   6,339 
 1,170,000      Brunswick & Glynn County Development Authority   3.060   04/01/25   1,282 
 1,935,000   g  California Municipal Finance Authority   4.250   11/01/23   1,928 
 14,000,000      Chicago Housing Authority      4.361   01/01/38   16,075 
 11,645,000      Chicago Metropolitan Water Reclamation District-Greater Chicago   5.720   12/01/38   16,767 
 3,035,000      City & County of Honolulu HI     2.668   10/01/27   3,314 
 5,645,000      City & County of Honolulu HI     3.974   09/01/35   6,455 
 1,615,000      City & County of Honolulu HI     4.004   09/01/36   1,845 
 7,085,000      City & County of San Francisco CA   4.000   04/01/47   7,533 
 5,500,000      City & County of San Francisco CA Community Facilities District   4.000   09/01/48   5,848 
 1,105,000      City of Chicago IL      7.750   01/01/42   1,195 
 5,395,000      City of Chicago IL      7.750   01/01/42   6,999 
 1,250,000      City of Florence SC      4.250   12/01/34   1,363 
 1,000,000      City of Houston TX Combined Utility System Revenue   3.375   11/15/24   1,114 
 1,275,000      City of Houston TX Combined Utility System Revenue   4.172   11/15/38   1,464 
 7,500,000      City of Los Angeles CA      3.880   09/01/38   8,499 
 1,780,000   g  City of Miami FL      4.808   01/01/39   2,017 
389

COLLEGE RETIREMENT EQUITIES FUND - Social Choice Account

 

          REFERENCE      MATURITY  VALUE 
PRINCIPAL      ISSUER  RATE & SPREAD  RATE  DATE  (000) 
$3,665,000      City of Norfolk VA      3.050%  10/01/36  $4,272 
 4,835,000      City of Oakland CA      2.070   01/15/29   4,955 
 3,345,000      City of San Francisco CA Public Utilities Commission Water Revenue     3.000   11/01/26   3,705 
 3,725,000      City of San Francisco CA Public Utilities Commission Water Revenue     3.950   11/01/36   4,167 
 8,615,000      City of San Francisco CA Public Utilities Commission Water Revenue     3.303   11/01/39   9,305 
 18,500,000      City of San Francisco CA Public Utilities Commission Water Revenue     4.185   11/01/46   20,463 
 1,000,000      City of San Juan Capistrano CA     3.700   08/01/31   1,127 
 2,730,000      Commonwealth Financing Authority     3.864   06/01/38   3,138 
 11,650,000   i  Connecticut Housing Finance Authority  SOFR + 0.650%   0.730   05/15/49   11,646 
 7,650,000      County of Alameda CA      3.820   08/01/38   8,532 
 1,500,000      County of Miami-Dade FL Aviation Revenue     2.218   10/01/22   1,519 
 12,015,000      County of Miami-Dade FL Water & Sewer System Revenue     3.490   10/01/42   12,883 
 935,000      County of Saline AR      3.550   06/01/42   979 
 3,500,000      District of Columbia      3.432   04/01/42   3,767 
 15,000,000      District of Columbia Water & Sewer Authority     4.814   10/01/14   22,455 
 1,000,000      Grant County Public Utility District No 2     5.470   01/01/34   1,133 
 1,250,000      Grant County Public Utility District No 2     4.164   01/01/35   1,495 
 22,445,000      Grant County Public Utility District No 2     2.918   01/01/40   23,334 
 9,255,000      Grant County Public Utility District No 2     3.210   01/01/40   9,844 
 3,230,000      Great Lakes Water Authority Sewage Disposal System Revenue     3.056   07/01/39   3,460 
 16,915,000      Great Lakes Water Authority Water Supply System Revenue     3.473   07/01/41   18,432 
 1,200,000      Guadalupe Valley Electric Coop, Inc     5.671   10/01/32   1,439 
 605,000      Guadalupe-Blanco River Authority Industrial Development Corp     3.287   04/15/23   629 
 640,000      Henry County Water Authority     3.000   01/01/43   649 
 850,000      Henry County Water Authority     3.200   01/01/49   858 
 1,000,000      Honolulu City & County Board of Water Supply     2.327   07/01/32   1,040 
 2,000,000      Kern County Water Agency Improvement District No 4     4.276   05/01/36   2,460 
 6,430,000      Lavaca-Navidad River Authority     4.430   08/01/35   6,974 
 3,300,000      Maryland Community Development Administration Housing Revenue     3.797   03/01/39   3,512 
 4,650,000      Massachusetts St. Water Pollution Abatement     5.192   08/01/40   5,686 
 10,735,000      Metropolitan Transportation Authority     5.175   11/15/49   11,721 
 2,000,000      Michigan Finance Authority     5.000   07/01/31   2,298 
 7,400,000      New Jersey Economic Development Authority     5.706   06/15/30   8,817 
 3,000,000      New Jersey Economic Development Authority     5.756   06/15/31   3,621 
 3,375,000      New Mexico Finance Authority     4.090   06/15/38   3,769 
 4,065,000      New York City Housing Development Corp     3.119   08/01/38   4,238 
 2,500,000      New York City Housing Development Corp     3.720   11/01/39   2,683 
 1,255,000      New York State Environmental Facilities Corp     3.045   06/15/24   1,361 
 1,225,000      New York State Environmental Facilities Corp     3.195   06/15/25   1,359 
 2,120,000      New York State Environmental Facilities Corp     3.520   07/15/27   2,454 
 17,500,000      New York Transportation Development Corp     5.000   01/01/26   19,009 
 11,245,000      Ohio State Water Development Authority     4.879   12/01/34   13,484 
 13,250,000   †,g,q  Oregon State Business Development Commission     6.500   04/01/31   8,593 
 3,470,000   g  Oregon State Business Development Commission     0.000   04/01/37   3,004 
 2,500,000      Palm Beach County Solid Waste Authority     2.636   10/01/24   2,688 
390

COLLEGE RETIREMENT EQUITIES FUND - Social Choice Account

 

          REFERENCE      MATURITY  VALUE 
PRINCIPAL      ISSUER  RATE & SPREAD  RATE  DATE  (000) 
$5,155,000      Papio-Missouri River Natural Resource District     2.088%  12/15/24  $5,443 
 4,500,000      Pend Oreille County Public Utility District No Box Canyon     5.000   01/01/30   4,690 
 7,250,000   g  Pennsylvania Economic Development Financing Authority     10.000   12/01/29   7,380 
 180,000   g  Pennsylvania Economic Development Financing Authority     5.750   06/01/36   176 
 1,735,000   g  Public Finance Authority      0.000   06/01/29   1,723 
 2,000,000      San Francisco City & County Redevelopment Agency      4.375   08/01/44   2,227 
 36,330,000      State of California      3.750   10/01/37   39,006 
 11,565,000      State of California      4.600   04/01/38   13,774 
 10,050,000      State of California      4.988   04/01/39   10,803 
 5,445,000   i  State of California  LIBOR 1 M + 0.780%   0.937   04/01/47   5,442 
 8,000,000      State of Illinois      5.000   02/01/22   8,290 
 9,000,000      State of Illinois      5.520   04/01/38   9,118 
 4,405,000      State of Michigan      3.590   12/01/26   4,687 
 2,500,000      State of Ohio      5.412   09/01/28   3,266 
 3,370,000      State of Texas      3.726   08/01/43   3,583 
 3,000      State of Wisconsin      5.700   05/01/26   4 
 1,650,000   g  Syracuse Industrial Development Agency      5.000   01/01/36   1,390 
 2,280,000      Tampa Bay Water      2.612   10/01/25   2,399 
 3,225,000      Tampa Bay Water      2.782   10/01/26   3,434 
 3,000,000      Tampa Bay Water      2.952   10/01/27   3,182 
 1,255,000      Texas Water Development Board      4.248   10/15/35   1,420 
 5,880,000      Texas Water Development Board      4.340   10/15/48   6,802 
 4,170,000      Texas Water Development Board      4.648   04/15/50   4,644 
 5,000,000      Tuolumne Wind Project Authority      6.918   01/01/34   6,932 
 3,035,000      University of California      3.809   05/15/28   3,563 
 11,400,000      University of California      4.009   05/15/30   13,806 
 1,000,000      University of Cincinnati      3.250   06/01/29   1,079 
 1,560,000      University of Cincinnati      3.650   06/01/34   1,678 
 1,615,000      University of Cincinnati      3.700   06/01/35   1,734 
 18,000,000      University of New Mexico      3.532   06/20/32   19,708 
 500,000      Upper Allegheny Joint Sanitary Authority      3.550   09/01/39   555 
 1,500,000      Upper Allegheny Joint Sanitary Authority      3.800   09/01/49   1,617 
 5,000,000      Vermont Educational & Health Buildings Financing Agency      4.000   12/01/42   5,318 
 3,000,000      Vermont Educational & Health Buildings Financing Agency      4.000   12/01/46   3,173 
 1,000,000      Washington County Clean Water Services      5.078   10/01/24   1,169 
        TOTAL MUNICIPAL BONDS                  576,209 
                         
U.S. TREASURY SECURITIES - 2.6%                
 6,000,000      United States Treasury Bond      3.125   02/15/43   8,130 
 1,000,000      United States Treasury Bond      3.375   05/15/44   1,411 
 35,830,000      United States Treasury Bond      2.875   11/15/46   47,356 
 2,500,000      United States Treasury Bond      3.000   02/15/49   3,417 
 9,350,000      United States Treasury Note      0.125   05/31/22   9,348 
 4,150,000      United States Treasury Note      2.000   07/31/22   4,291 
 28,535,000      United States Treasury Note      0.125   08/31/22   28,527 
 4,500,000      United States Treasury Note      1.750   09/30/22   4,645 
 17,154,500      United States Treasury Note      0.125   09/15/23   17,138 
 31,765,000      United States Treasury Note      2.875   09/30/23   34,333 
 6,100,000      United States Treasury Note      2.625   12/31/23   6,583 
391

COLLEGE RETIREMENT EQUITIES FUND - Social Choice Account

 

          REFERENCE      MATURITY  VALUE 
PRINCIPAL      ISSUER  RATE & SPREAD  RATE  DATE  (000) 
$5,000,000      United States Treasury Note      1.500%  09/30/24  $5,255 
 1,525,000      United States Treasury Note      2.250   10/31/24   1,651 
 9,350,000      United States Treasury Note      2.125   11/30/24   10,084 
 10,200,000      United States Treasury Note      0.250   09/30/25   10,186 
 18,842,000      United States Treasury Note      2.500   02/28/26   21,045 
 10,931,000      United States Treasury Note      0.500   08/31/27   10,957 
 4,500,000      United States Treasury Note      0.375   09/30/27   4,470 
 64,420,000      United States Treasury Note      0.625   08/15/30   64,048 
 121,826,000      United States Treasury Note      1.250   05/15/50   115,449 
        TOTAL U.S. TREASURY SECURITIES                 408,324 
                         
        TOTAL GOVERNMENT BONDS              3,198,520 
        (Cost $3,050,945)                
                         
STRUCTURED ASSETS - 3.4%                  
                           
ASSET BACKED - 1.3%                  
 99,904   g  AMSR Trust      1.819   04/17/37   102 
        Series - 2020 SFR1 (Class A)                
 900,000   g,i  AMSR Trust      3.148   01/19/39   928 
        Series - 2019 SFR1 (Class C)                
 800,000   g,i  AMSR Trust      3.247   01/19/39   818 
        Series - 2019 SFR1 (Class D)                
 5,000,000   g,i  AREIT Trust  LIBOR 1 M + 1.020%   1.172   09/14/36   4,926 
        Series - 2019 CRE3 (Class A)                
 174,850   i  Asset Backed Securities Corp Home Equity Loan Trust  LIBOR 1 M + 0.900%   3.386   08/25/34   172 
        Series - 2004 HE5 (Class M1)                
 1,500,000   i  Bayview Financial Mortgage Pass-Through Trust  LIBOR 1 M + 0.975%   1.120   02/28/41   1,487 
        Series - 2006 A (Class M3)                
 90,284   i  Bear Stearns Asset Backed Securities Trust  LIBOR 1 M + 0.670%   0.818   04/25/36   90 
        Series - 2006 SD1 (Class M1)                
 4,500,000   g,i  BFLD Trust  LIBOR 1 M + 2.100%   2.150   10/15/22   4,500 
        Series - 2020 EYP (Class C)                
 3,779,102   g  Capital Automotive REIT      3.660   10/15/44   3,790 
        Series - 2014 1A (Class A)                
 3,754,433   g  Capital Automotive REIT      3.870   04/15/47   3,761 
        Series - 2017 1A (Class A1)                
 548,784   i  C-BASS Trust  LIBOR 1 M + 0.080%   0.228   07/25/36   524 
        Series - 2006 CB6 (Class A1)                
 3,900,224   i  Chase Funding Loan Acquisition Trust  LIBOR 1 M + 0.855%   1.003   06/25/34   3,809 
        Series - 2004 OPT1 (Class M1)                
 325,000   i  Citigroup Mortgage Loan Trust  LIBOR 1 M + 0.750%   0.898   01/25/36   322 
        Series - 2006 WFH1 (Class M4)                
 217,693   g  Corevest American Finance Trust      1.832   03/15/50   217 
        Series - 2020 1 (Class A1)                
 1,462,500   g  DB Master Finance LLC      3.629   11/20/47   1,506 
        Series - 2017 1A (Class A2I)                
 6,904,750   g  Domino’s Pizza Master Issuer LLC      3.082   07/25/47   6,919 
        Series - 2017 1A (Class A2II)                
 280,501   g,i  Ellington Loan Acquisition Trust  LIBOR 1 M + 1.100%   1.248   05/25/37   280 
        Series - 2007 2 (Class A2C)                
 6,150,000     Freddie Mac Multifamily Variable Rate Certificate     1.761   09/15/38   6,273 
        Series - 2020 M061 (Class A)                
392

COLLEGE RETIREMENT EQUITIES FUND - Social Choice Account

 

          REFERENCE      MATURITY  VALUE 
PRINCIPAL      ISSUER  RATE & SPREAD  RATE  DATE  (000) 
$4,843,437   g  HERO Funding Trust      3.840%  09/21/40  $5,091 
        Series - 2015 1A (Class A)                
 1,232,700   g  HERO Funding Trust      3.990   09/21/40   1,282 
        Series - 2014 2A (Class A)                
 2,394,931   g  HERO Funding Trust      3.750   09/20/41   2,479 
        Series - 2016 2A (Class A)                
 2,300,272   g  HERO Funding Trust      4.050   09/20/41   2,385 
        Series - 2016 1A (Class A)                
 890,848   g  HERO Funding Trust      3.080   09/20/42   903 
        Series - 2016 3A (Class A1)                
 38,524   g  HERO Funding Trust      4.500   09/21/42   39 
        Series - 2016 1R (Class A1)                
 6,199,885   g  HERO Funding Trust      3.710   09/20/47   6,488 
        Series - 2017 1A (Class A1)                
 6,316,117   g  HERO Funding Trust      3.190   09/20/48   6,508 
        Series - 2017 3A (Class A1)                
 1,506,550   g  HERO Funding Trust      3.280   09/20/48   1,558 
        Series - 2017 2A (Class A1)                
 6,998,931   g  HERO Funding Trust      4.670   09/20/48   7,509 
        Series - 2018 1A (Class A2)                
 28,602   i  Home Equity Asset Trust  LIBOR 1 M + 1.500%   3.986   06/25/33   29 
        Series - 2003 1 (Class M1)                
 100,000   g,i  Invitation Homes Trust  LIBOR 1 M + 1.450%   1.602   06/17/37   100 
        Series - 2018 SFR2 (Class D)                
 321,583   g,i  Invitation Homes Trust  LIBOR 1 M + 1.000%   1.151   07/17/37   322 
        Series - 2018 SFR3 (Class A)                
 1,021,856   g,i  Invitation Homes Trust  LIBOR 1 M + 1.100%   1.251   01/17/38   1,022 
        Series - 2018 SFR4 (Class A)                
 499,336   i  JP Morgan Mortgage Acquisition Trust  LIBOR 1 M + 0.320%   0.468   03/25/37   490 
        Series - 2007 CH3 (Class A1B)                
 7,006,734   i  JP Morgan Mortgage Acquisition Trust  LIBOR 1 M + 0.160%   0.308   06/25/37   6,847 
        Series - 2007 CH5 (Class A1)                
 2,660,710   g  Mosaic Solar Loan Trust      2.100   04/20/46   2,718 
        Series - 2020 1A (Class A)                
 3,682,233   g  Mosaic Solar Loan Trust      3.100   04/20/46   3,771 
        Series - 2020 1A (Class B)                
 5,430,476   g  Mosaic Solar Loans LLC      3.820   06/22/43   5,722 
        Series - 2017 2A (Class A)                
 1,197,771   g  Progress Residential Trust      2.897   12/17/34   1,202 
        Series - 2017 SFR2 (Class A)                
 650,000   i  RASC Trust  LIBOR 1 M + 0.590%   3.080   08/25/35   648 
        Series - 2005 KS8 (Class M4)                
 3,571,567   g  Renew      3.670   09/20/52   3,708 
        Series - 2017 1A (Class A)                
 7,748,691   g  Renew      3.950   09/20/53   8,331 
        Series - 2018 1 (Class A)                
 215,154   g  Sierra Timeshare Receivables Funding LLC      2.580   09/20/32   215 
        Series - 2015 3A (Class A)                
 152,232   g  Sierra Timeshare Receivables Funding LLC      3.080   09/20/32   152 
        Series - 2015 3A (Class B)                
 4,087,799   g  SolarCity LMC      4.590   04/20/44   4,040 
        Series - 2014 1 (Class A)                
 21,519,105   g  SolarCity LMC      4.020   07/20/44   21,675 
        Series - 2014 2 (Class A)                
393

COLLEGE RETIREMENT EQUITIES FUND - Social Choice Account

 

          REFERENCE      MATURITY  VALUE 
PRINCIPAL      ISSUER  RATE & SPREAD  RATE  DATE  (000) 
$3,107,454   g  SolarCity LMC      4.800%  09/20/48  $3,222 
        Series - 2016 A (Class A)                
 910,819   g,i  Starwood Waypoint Homes  LIBOR 1 M + 0.950%   1.102   01/17/35   910 
        Series - 2017 1 (Class A)                
 13,997   i  Structured Asset Investment Loan Trust  LIBOR 1 M + 0.900%   1.048   09/25/34   14 
        Series - 2004 8 (Class M1)                
 70,066   i  Structured Asset Investment Loan Trust  LIBOR 1 M + 1.000%   1.148   09/25/34   69 
        Series - 2004 8 (Class A9)                
 1,864,164   i  Structured Asset Securities Corp Mortgage Loan Trust  LIBOR 1 M + 1.500%   1.657   04/25/35   1,825 
        Series - 2005 7XS (Class 2A1A)                
 2,870,151   g  Sunrun Athena Issuer LLC      5.310   04/30/49   3,134 
        Series - 2018 1 (Class A)                
 9,563,433   g  Sunrun Atlas Issuer LLC      3.610   02/01/55   10,018 
        Series - 2019 2 (Class A)                
 11,544,462   g  TES LLC      4.330   10/20/47   11,775 
        Series - 2017 1A (Class A)                
 2,500,000   g  TES LLC      7.740   10/20/47   2,284 
        Series - 2017 1A (Class B)                
 7,054,418   g  TES LLC      4.120   02/20/48   7,181 
        Series - 2017 2A (Class A)                
 1,041,184   g  Tesla Auto Lease Trust      3.710   08/20/21   1,051 
        Series - 2018 B (Class A)                
 4,125,000   g  Tesla Auto Lease Trust      2.200   11/21/22   4,240 
        Series - 2019 A (Class A4)                
 1,500,000   g  Tricon American Homes Trust      4.878   11/17/33   1,498 
        Series - 2016 SFR1 (Class E)                
 1,000,000   g  Tricon American Homes Trust      4.011   09/17/34   1,014 
        Series - 2017 SFR1 (Class E)                
 1,092,903   g  Tricon American Homes Trust      2.928   01/17/36   1,131 
        Series - 2017 SFR2 (Class A)                
 200,000   g  Tricon American Homes Trust      3.275   01/17/36   207 
        Series - 2017 SFR2 (Class B)                
 14,516,802   g  Vivint Colar Financing V LLC      4.730   04/30/48   14,932 
        Series - 2018 1A (Class A)                
 5,250,000   g  Vivint Solar Financing VII LLC      2.210   07/31/51   5,264 
        Series - 2020 1A (Class A)                
 1,458,750   g  Wendys Funding LLC      3.573   03/15/48   1,508 
        Series - 2018 1A (Class A2I)                
        TOTAL ASSET BACKED                  206,935 
                         
OTHER MORTGAGE BACKED - 2.1%                  
 668,460   g,i  Agate Bay Mortgage Trust      3.500   11/25/44   692 
        Series - 2014 3 (Class A13)                
 390,370   g,i  Agate Bay Mortgage Trust      3.500   09/25/45   405 
        Series - 2015 6 (Class A9)                
 259,702   i  Alternative Loan Trust  LIBOR 1 M + 0.500%   0.648   06/25/34   257 
        Series - 2004 8CB (Class M1)                
 1,030,095   g,i  Bancorp Commercial Mortgage Trust  LIBOR 1 M + 0.900%   1.052   09/15/35   1,020 
        Series - 2018 CRE4 (Class A)                
 5,440,000   g,i  BBCMS Mortgage Trust      4.409   08/05/38   3,724 
        Series - 2018 CHRS (Class E)                
 12,500,000   g  BBCMS Trust      3.593   09/15/32   12,895 
        Series - 2015 MSQ (Class A)                
394

COLLEGE RETIREMENT EQUITIES FUND - Social Choice Account

 

          REFERENCE      MATURITY  VALUE 
PRINCIPAL      ISSUER  RATE & SPREAD  RATE  DATE  (000) 
$3,600,000   g  BBCMS Trust      3.894%  09/15/32  $3,710 
        Series - 2015 MSQ (Class B)                
 3,000,000   g,i  BBCMS Trust      3.688   02/15/53   3,031 
        Series - 2020 C6 (Class F5TA)                
 1,000,000      Benchmark Mortgage Trust      3.419   08/15/52   1,118 
        Series - 2019 B12 (Class AS)                
 8,870,000   g,i  Benchmark Mortgage Trust      4.029   03/15/62   9,161 
        Series - 2019 B10 (Class 3CCA)                
 2,000,000   i  CD Mortgage Trust      3.879   11/10/49   2,170 
        Series - 2016 CD2 (Class B)                
 2,000,000   i  Citigroup Commercial Mortgage Trust      4.296   04/10/48   1,976 
        Series - 2015 GC29 (Class C)                
 4,800,000      Citigroup Commercial Mortgage Trust      3.300   11/10/52   5,326 
        Series - 2019 GC43 (Class AS)                
 3,115,000      Citigroup Commercial Mortgage Trust      3.018   08/10/56   3,428 
        Series - 2019 GC41 (Class AS)                
 3,000,000   g,i  Cityline Commercial Mortgage Trust      2.871   11/10/31   3,081 
        Series - 2016 CLNE (Class A)                
 3,000,000   g  COMM Mortgage Trust      2.681   08/10/29   3,020 
        Series - 2016 GCT (Class A)                
 2,750,000   g,i  COMM Mortgage Trust      3.527   10/10/29   2,894 
        Series - 2017 PANW (Class B)                
 3,000,000   g,i  COMM Mortgage Trust      3.712   10/10/29   3,128 
        Series - 2017 PANW (Class C)                
 5,120,000   g  COMM Mortgage Trust      4.353   08/10/30   5,473 
        Series - 2013 300P (Class A1)                
 3,500,000   g,i  COMM Mortgage Trust      4.244   03/10/48   3,064 
        Series - 2015 CR22 (Class D)                
 1,100,000   i  COMM Mortgage Trust      4.435   05/10/48   1,107 
        Series - 2015 CR23 (Class C)                
 2,000,000   i  COMM Mortgage Trust      4.435   05/10/48   1,729 
        Series - 2015 CR23 (Class D)                
 2,500,000   i  COMM Mortgage Trust      3.463   08/10/48   2,090 
        Series - 2015 CR24 (Class D)                
 1,000,000      COMM Mortgage Trust      3.263   08/15/57   1,113 
        Series - 2019 GC44 (Class AM)                
 2,583,334   i  Connecticut Avenue Securities  LIBOR 1 M + 2.600%   2.748   05/25/24   2,261 
        Series - 2014 C02 (Class 1M2)                
 6,224,109   i  Connecticut Avenue Securities  LIBOR 1 M + 3.000%   3.148   07/25/24   5,439 
        Series - 2014 C03 (Class 1M2)                
 1,097,932   i  Connecticut Avenue Securities  LIBOR 1 M + 5.000%   5.148   11/25/24   1,122 
        Series - 2014 C04 (Class 2M2)                
 283,327   i  Connecticut Avenue Securities  LIBOR 1 M + 5.550%   5.698   04/25/28   291 
        Series - 2015 C04 (Class 2M2)                
 470,298   i  Connecticut Avenue Securities  LIBOR 1 M + 5.700%   5.848   04/25/28   487 
        Series - 2015 C04 (Class 1M2)                
 1,286,176   i  Connecticut Avenue Securities  LIBOR 1 M + 6.750%   6.898   08/25/28   1,335 
        Series - 2016 C01 (Class 1M2)                
 1,169,099   i  Connecticut Avenue Securities  LIBOR 1 M + 6.950%   7.098   08/25/28   1,252 
        Series - 2016 C01 (Class 2M2)                
 929,274   i  Connecticut Avenue Securities  LIBOR 1 M + 6.000%   6.148   09/25/28   983 
        Series - 2016 C02 (Class 1M2)                
 1,837,671   i  Connecticut Avenue Securities  LIBOR 1 M + 5.900%   6.048   10/25/28   1,941 
        Series - 2016 C03 (Class 2M2)                
395

COLLEGE RETIREMENT EQUITIES FUND - Social Choice Account

 

          REFERENCE      MATURITY  VALUE 
PRINCIPAL      ISSUER  RATE & SPREAD  RATE  DATE  (000) 
$3,321,453   i  Connecticut Avenue Securities  LIBOR 1 M + 4.250%   4.398%  01/25/29  $3,441 
        Series - 2016 C04 (Class 1M2)                
 2,664,583   i  Connecticut Avenue Securities  LIBOR 1 M + 4.450%   4.598   01/25/29   2,749 
        Series - 2016 C05 (Class 2M2)                
 1,240,331   i  Connecticut Avenue Securities  LIBOR 1 M + 4.250%   4.398   04/25/29   1,268 
        Series - 2016 C06 (Class 1M2)                
 851,611   i  Connecticut Avenue Securities  LIBOR 1 M + 2.200%   2.348   01/25/30   856 
        Series - 2017 C05 (Class 1M2A)                
 584,474   i  Connecticut Avenue Securities  LIBOR 1 M + 2.250%   2.398   07/25/30   577 
        Series - 2018 C01 (Class 1M2)                
 330,684     Connecticut Avenue Securities  LIBOR 1 M + 2.200%   0.000   08/25/30   320 
        Series - 2018 C02 (Class 2M2)                
 696,474   i  Connecticut Avenue Securities  LIBOR 1 M + 0.850%   0.998   10/25/30   692 
        Series - 2018 C03 (Class 1EA2)                
 118,091   i  Connecticut Avenue Securities  LIBOR 1 M + 2.550%   2.698   12/25/30   116 
        Series - 2018 C04 (Class 2M2)                
 316,613   g,i  Connecticut Avenue Securities  LIBOR 1 M + 2.450%   2.598   07/25/31   315 
        Series - 2019 R01 (Class 2M2)                
 595,093   g,i  Connecticut Avenue Securities  LIBOR 1 M + 0.800%   0.948   01/25/40   593 
        Series - 2020 R01 (Class 1M1)                
 1,360,000   g,i  Connecticut Avenue Securities  LIBOR 1 M + 2.000%   2.148   01/25/40   1,325 
        Series - 2020 R02 (Class 2M2)                
 15,000,000   g  CPT Mortgage Trust      2.865   11/13/39   16,328 
        Series - 2019 CPT (Class A)                
 2,000,000   g,i  CPT Mortgage Trust      3.097   11/13/39   1,884 
        Series - 2019 CPT (Class E)                
 5,000,000   g,i  Credit Suisse Commercial Mortgage Trust      3.854   11/10/32   5,340 
        Series - 2017 CALI (Class B)                
 825,000   g,i  Credit Suisse Commercial Mortgage Trust  LIBOR 1 M + 0.650%   0.798   05/25/36   823 
        Series - 2006 CF2 (Class M3)                
 3,873,361   g,i  Credit Suisse Commercial Mortgage Trust      3.500   02/25/48   4,020 
        Series - 2018 J1 (Class A11)                
 6,650,000   g,i  CSAIL Commercial Mortgage Trust      3.800   06/15/37   6,789 
        Series - 2017 C8 (Class 85BA)                
 6,100,000   g,i  CSAIL Commercial Mortgage Trust      3.800   06/15/37   5,726 
        Series - 2017 C8 (Class 85BB)                
 1,500,000   g,i  DBUBS Mortgage Trust      5.790   11/10/46   1,503 
        Series - 2011 LC1A (Class C)                
 500,000   g,i  Ellington Financial Mortgage Trust      3.587   06/25/59   500 
        Series - 2019 1 (Class M1)                
 682,259   i  Fieldstone Mortgage Investment Trust  LIBOR 1 M + 0.735%   0.883   12/25/35   678 
        Series - 2005 2 (Class M2)                
 2,066,807   g,i  FirstKey Mortgage Trust      3.500   11/25/44   2,132 
        Series - 2014 1 (Class A8)                
 563,188   g,i  Flagstar Mortgage Trust      4.102   10/25/47   587 
        Series - 2017 2 (Class B3)                
 488,941   g,i  Flagstar Mortgage Trust      4.000   09/25/48   501 
        Series - 2018 5 (Class A11)                
 5,000,000   g  GRACE Mortgage Trust      3.369   06/10/28   5,030 
        Series - 2014 GRCE (Class A)                
 2,000,000   g,i  GS Mortgage Securities Trust  LIBOR 1 M + 1.090%   1.242   10/15/31   1,965 
        Series - 2018 HART (Class A)                
 3,000,000      GS Mortgage Securities Trust      3.143   10/10/49   3,237 
        Series - 2016 GS3 (Class AS)                
396

COLLEGE RETIREMENT EQUITIES FUND - Social Choice Account

 

          REFERENCE      MATURITY  VALUE 
PRINCIPAL      ISSUER  RATE & SPREAD  RATE  DATE  (000) 
$830,000   i  GS Mortgage Securities Trust      3.918%  11/10/49  $753 
        Series - 2016 GS4 (Class C)                
 2,000,000   g  GS Mortgage Securities Trust      3.000   02/10/52   1,763 
        Series - 2019 GC38 (Class D)                
 2,302,595   g,i  GS Mortgage-Backed Securities Corp Trust      3.500   07/25/50   2,338 
        Series - 2020 PJ2 (Class A4)                
 1,096,099   i  HarborView Mortgage Loan Trust  LIBOR 1 M + 0.620%   0.776   08/19/45   1,056 
        Series - 2005 11 (Class 2A1A)                
 6,000,000   g  Hudson Yards Mortgage Trust      2.835   08/10/38   6,442 
        Series - 2016 10HY (Class A)                
 5,000,000   g,i  Hudson Yards Mortgage Trust      3.076   08/10/38   5,291 
        Series - 2016 10HY (Class B)                
 5,000,000   g,i  Hudson Yards Mortgage Trust      3.076   08/10/38   5,207 
        Series - 2016 10HY (Class C)                
 7,000,000   g  Hudson Yards Mortgage Trust      3.228   07/10/39   7,837 
        Series - 2019 30HY (Class A)                
 1,000,000   g,i  Hudson Yards Mortgage Trust      3.041   12/10/41   989 
        Series - 2019 55HY (Class D)                
 7,000,000   g,i  Hudson Yards Mortgage Trust      3.041   12/10/41   6,537 
        Series - 2019 55HY (Class E)                
 2,500,000   g,i  Hudson Yards Mortgage Trust      3.041   12/10/41   2,193 
        Series - 2019 55HY (Class F)                
 234,856   i  Impac CMB Trust  LIBOR 1 M + 0.660%   0.808   03/25/35   229 
        Series - 2004 11 (Class 2A1)                
 2,800,000      JP Morgan Chase Commercial Mortgage Securities Corp      3.372   12/15/47   2,922 
        Series - 2013 C10 (Class AS)                
 1,579,095   g,i  JP Morgan Mortgage Trust      2.140   12/25/44   1,604 
        Series - 2015 1 (Class B1)                
 336,328   g,i  JP Morgan Mortgage Trust      3.500   05/25/45   346 
        Series - 2015 3 (Class A19)                
 1,349,120   g,i  JP Morgan Mortgage Trust      3.500   10/25/45   1,398 
        Series - 2015 6 (Class A13)                
 671,918   g,i  JP Morgan Mortgage Trust      3.500   05/25/46   689 
        Series - 2016 1 (Class A13)                
 85,294   g,i  JP Morgan Mortgage Trust      3.500   01/25/47   88 
        Series - 2017 1 (Class A3)                
 2,065,130   g,i  JP Morgan Mortgage Trust      3.500   05/25/47   2,092 
        Series - 2017 2 (Class A5)                
 815,422   g,i  JP Morgan Mortgage Trust      3.500   05/25/47   835 
        Series - 2017 2 (Class A13)                
 566,648   g,i  JP Morgan Mortgage Trust      3.500   08/25/47   569 
        Series - 2017 3 (Class 1A5)                
 262,019   g,i  JP Morgan Mortgage Trust      3.500   09/25/48   273 
        Series - 2018 3 (Class A13)                
 85,893   g,i  JP Morgan Mortgage Trust      3.500   10/25/48   90 
        Series - 2018 4 (Class A13)                
 344,373   g,i  JP Morgan Mortgage Trust      3.500   10/25/48   360 
        Series - 2018 5 (Class A13)                
 48,875   g,i  JP Morgan Mortgage Trust      4.000   01/25/49   49 
        Series - 2018 8 (Class A5)                
 574,700   g,i  JP Morgan Mortgage Trust      4.000   01/25/49   589 
        Series - 2018 8 (Class A13)                
397

COLLEGE RETIREMENT EQUITIES FUND - Social Choice Account

 

          REFERENCE      MATURITY  VALUE 
PRINCIPAL      ISSUER  RATE & SPREAD  RATE  DATE  (000) 
$1,255,989   g,i  JP Morgan Mortgage Trust      4.000%  02/25/49  $1,287 
        Series - 2018 9 (Class A13)                
 170,793   g,i  JP Morgan Mortgage Trust      4.000   05/25/49   176 
        Series - 2019 1 (Class A3)                
 1,289,883   g,i  JP Morgan Mortgage Trust      4.000   05/25/49   1,323 
        Series - 2019 1 (Class A15)                
 5,108   g,i  JP Morgan Mortgage Trust      4.000   08/25/49   5 
        Series - 2019 2 (Class A4)                
 141,269   g,i  JP Morgan Mortgage Trust      4.781   09/25/49   151 
        Series - 2019 3 (Class B1)                
 2,628,107   g,i  JP Morgan Mortgage Trust  LIBOR 1 M + 0.950%   1.098   10/25/49   2,625 
        Series - 2019 INV1 (Class A11)                
 1,662,703   g,i  JP Morgan Mortgage Trust      3.877   06/25/50   1,751 
        Series - 2020 1 (Class B2)                
 10,000,000   g  Liberty Street Trust      3.597   02/10/36   10,979 
        Series - 2016 225L (Class A)                
 4,000,000   g,i  MAD Mortgage Trust      3.294   08/15/34   4,153 
        Series - 2017 330M (Class A)                
 4,000,000   g,i  MAD Mortgage Trust      3.478   08/15/34   4,119 
        Series - 2017 330M (Class B)                
 3,000,000   g,i  Manhattan West      2.413   09/10/39   2,991 
        Series - 2020 1MW (Class C)                
 545,391   i  Morgan Stanley Capital I Trust  LIBOR 1 M + 0.825%   0.973   08/25/34   542 
        Series - 2004 HE6 (Class M1)                
 2,000,000   g,i  Morgan Stanley Capital I Trust      5.675   09/15/47   2,006 
        Series - 2011 C1 (Class D)                
 213,332   †,i  Morgan Stanley Capital I Trust      6.467   12/12/49   127 
        Series - 2007 IQ16 (Class AJFX)                
 3,000,000   g,i  MSDB Trust      3.427   07/11/39   3,212 
        Series - 2017 712F (Class A)                
 15,780,000   g,i  Natixis Commercial Mortgage Securities Trust  LIBOR 1 M + 0.784%   0.936   07/15/33   15,507 
        Series - 2018 850T (Class A)                
 5,750,000   g,i  Natixis Commercial Mortgage Securities Trust  LIBOR 1 M + 1.500%   1.652   07/15/36   5,693 
        Series - 2019 MILE (Class A)                
 9,000,000   g,i  Natixis Commercial Mortgage Securities Trust  LIBOR 1 M + 3.500%   3.652   07/15/36   8,441 
        Series - 2019 MILE (Class E)                
 1,750,000   g,i  Natixis Commercial Mortgage Securities Trust  LIBOR 1 M + 4.250%   4.402   07/15/36   1,612 
        Series - 2019 MILE (Class F)                
 109,953   i  New York Mortgage Trust  LIBOR 1 M + 0.480%   0.628   02/25/36   107 
        Series - 2005 3 (Class A1)                
 741,386   g,i  OBX Trust  LIBOR 1 M + 0.650%   0.798   06/25/57   740 
        Series - 2018 1 (Class A2)                
 742,072   g,i  OBX Trust  LIBOR 1 M + 0.750%   0.898   07/25/58   739 
        Series - 2018 EXP2 (Class 2A1A)                
 11,800,000   g  One Bryant Park Trust      2.516   09/15/54   12,548 
        Series - 2019 OBP (Class A)                
 3,900,000   g  One Market Plaza Trust      3.614   02/10/32   4,036 
        Series - 2017 1MKT (Class A)                
 1,441,836   g,i  Sequoia Mortgage Trust      3.500   05/25/45   1,492 
        Series - 2015 2 (Class A1)                
 627,263   g,i  Sequoia Mortgage Trust      3.500   06/25/46   651 
        Series - 2016 1 (Class A19)                
 229,623   g,i  Sequoia Mortgage Trust      3.500   11/25/46   234 
        Series - 2016 3 (Class A10)                
398

COLLEGE RETIREMENT EQUITIES FUND - Social Choice Account

 

          REFERENCE      MATURITY  VALUE 
PRINCIPAL      ISSUER  RATE & SPREAD  RATE  DATE  (000) 
$1,617,946   g,i  Sequoia Mortgage Trust      3.500%  04/25/47  $1,680 
        Series - 2017 3 (Class A19)                
 718,757   g,i  Sequoia Mortgage Trust      3.743   09/25/47   760 
        Series - 2017 6 (Class B1)                
 540,202   g,i  Sequoia Mortgage Trust      3.500   02/25/48   556 
        Series - 2018 2 (Class A1)                
 432,161   g,i  Sequoia Mortgage Trust      3.500   02/25/48   442 
        Series - 2018 2 (Class A19)                
 107,409   g,i  Sequoia Mortgage Trust      3.500   03/25/48   108 
        Series - 2018 3 (Class A4)                
 64,548   g,i  Sequoia Mortgage Trust      4.000   09/25/48   65 
        Series - 2018 7 (Class A4)                
 102,510   g,i  Sequoia Mortgage Trust      4.000   09/25/48   104 
        Series - 2018 7 (Class A19)                
 32,059   g,i  Sequoia Mortgage Trust      4.000   11/25/48   32 
        Series - 2018 8 (Class A19)                
 1,762,855   g,i  Sequoia Mortgage Trust      4.000   06/25/49   1,798 
        Series - 2019 2 (Class A1)                
 427,255   g,i  Sequoia Mortgage Trust      4.000   06/25/49   433 
        Series - 2019 2 (Class A19)                
 1,466,633   g,i  Sequoia Mortgage Trust      3.500   11/25/49   1,513 
        Series - 2019 4 (Class A1)                
 1,350,539   g,i  Sequoia Mortgage Trust      3.500   12/25/49   1,387 
        Series - 2019 5 (Class A1)                
 754,713   g,i  Sequoia Mortgage Trust      3.500   12/25/49   766 
        Series - 2019 5 (Class A19)                
 2,362,922   g,i  Sequoia Mortgage Trust      3.000   04/25/50   2,417 
        Series - 2020 3 (Class A19)                
 260,665   g,i  Shellpoint Co-Originator Trust      3.500   11/25/46   264 
        Series - 2016 1 (Class 1A10)                
 1,957,067   g,i  Shellpoint Co-Originator Trust      3.500   10/25/47   2,008 
        Series - 2017 2 (Class A1)                
 149,311   i  Structured Agency Credit Risk Debt Note (STACR)   LIBOR 1 M + 4.150%   4.298   01/25/25   150 
        Series - 2015 DN1 (Class M3)                
 161,512   i  STACR  LIBOR 1 M + 3.800%   3.948   03/25/25   162 
        Series - 2015 HQ1 (Class M3)                
 142,062   i  STACR  LIBOR 1 M + 1.350%   1.498   03/25/29   142 
        Series - 2016 HQA3 (Class M2)                
 339,767   i  STACR  LIBOR 1 M + 3.250%   3.398   07/25/29   348 
        Series - 2017 DNA1 (Class M2)                
 500,380   i  STACR  LIBOR 1 M + 1.200%   1.348   10/25/29   500 
        Series - 2017 DNA2 (Class M1)                
 1,471,531   i  STACR  LIBOR 1 M + 2.300%   2.472   08/25/30   1,447 
        Series - 2018 HQA1 (Class M2)                
 44,323   g,i  STACR      3.721   02/25/48   45 
        Series - 2018 SPI1 (Class M1)                
 2,911,213   g,i  STACR      4.473   11/25/48   2,894 
        Series - 2018 SPI4 (Class M2)                
 2,323,848   g,i  STACR  LIBOR 1 M + 2.050%   2.198   11/25/49   2,293 
        Series - 2019 HQA4 (Class M2)                
 620,000   g,i  STACR  LIBOR 1 M + 1.700%   1.848   12/25/49   606 
        Series - 2020 DNA1 (Class M2)                
 670,000   g,i  STACR  LIBOR 1 M + 1.850%   1.998   02/25/50   652 
        Series - 2020 DNA2 (Class M2)                
399

COLLEGE RETIREMENT EQUITIES FUND - Social Choice Account

 

          REFERENCE      MATURITY  VALUE 
PRINCIPAL      ISSUER  RATE & SPREAD  RATE  DATE  (000) 
$2,620,000   g,i  STACR  LIBOR 1 M + 3.100%   3.248%  03/25/50  $2,581 
        Series - 2020 HQA2 (Class M2)                
 475,000   g  Tricon American Homes      2.049   07/17/38   484 
        Series - 2020 SFR1 (Class B)                
 1,030,000      Wells Fargo Commercial Mortgage Trust   3.539   10/15/45   1,070 
        Series - 2012 LC5 (Class AS)                
 710,318   g,i  Wells Fargo Mortgage Backed Securities Trust   4.000   04/25/49   720 
        Series - 2019 2 (Class A17)                
        TOTAL OTHER MORTGAGE BACKED           328,231 
                         
        TOTAL STRUCTURED ASSETS           535,166 
        (Cost $526,722)                
                         
        TOTAL BONDS              6,306,793 
        (Cost $6,007,704)                

 

            
SHARES      COMPANY    
COMMON STOCKS - 58.1%    
              
AUTOMOBILES & COMPONENTS - 1.3%     
 70,467      Aptiv plc   6,460 
 172,427      Bayerische Motoren Werke AG.   12,514 
 64,152      Bayerische Motoren Werke AG. (Preference)   3,506 
 14,525      BorgWarner, Inc   563 
 187,282      Denso Corp   8,209 
 609,480      Honda Motor Co Ltd   14,474 
 105,512      Magna International, Inc   4,828 
 56,903      Michelin (C.G.D.E.) (Class B)   6,108 
 544,409   e  Peugeot S.A.   9,873 
 109,789   g  Pirelli & C S.p.A   471 
 193,172      Renault S.A.   5,011 
 31,000      Stanley Electric Co Ltd   893 
 97,152   *  Tenneco, Inc   674 
 216,528   *  Tesla, Inc   92,893 
 518,100      Toyota Motor Corp   34,386 
 48,647      Valeo S.A.   1,494 
        TOTAL AUTOMOBILES & COMPONENTS   202,357 
              
BANKS - 2.3%     
 5,340      Ameris Bancorp   122 
 41,566      Associated Banc-Corp   525 
 791,762      Australia & New Zealand Banking Group Ltd   9,878 
 2,678,905      Banco Bilbao Vizcaya Argentaria S.A.   7,436 
 1,285,108      Bank Hapoalim Ltd   6,866 
 180,938      Bank of Montreal   10,577 
 181,610      Bank of Nova Scotia   7,545 
 60,679      Bank OZK   1,294 
 2,405      Banner Corp   78 
 63,159      Berkshire Hills Bancorp, Inc   639 
 3,600,000      BOC Hong Kong Holdings Ltd   9,544 
 16,180      Brookline Bancorp, Inc   140 
 13,829      Bryn Mawr Bank Corp   344 
400

COLLEGE RETIREMENT EQUITIES FUND - Social Choice Account

 

          VALUE 
SHARES      COMPANY  (000) 
 10,067      Cadence BanCorp  $87 
 2,629,194      CaixaBank S.A.   5,582 
 9,574      Camden National Corp   289 
 79,444      Canadian Imperial Bank of Commerce   5,938 
 568,946      Citizens Financial Group, Inc   14,383 
 2,120      Columbia Banking System, Inc   51 
 132,564      Comerica, Inc   5,071 
 712      Commerce Bancshares, Inc   40 
 479,554      Commonwealth Bank of Australia   22,067 
 889      Community Trust Bancorp, Inc   25 
 4,937      Cullen/Frost Bankers, Inc   316 
 58,867   *  Customers Bancorp, Inc   659 
 750,793      DBS Group Holdings Ltd   11,038 
 15,927      Federal Agricultural Mortgage Corp (FAMC)   1,014 
 55,640      First Republic Bank   6,068 
 2,590      Glacier Bancorp, Inc   83 
 68,668      Great Western Bancorp, Inc   855 
 5,441      Hancock Whitney Corp   102 
 658,200      Hang Seng Bank Ltd   9,751 
 45,083      Hanmi Financial Corp   370 
 13,555      Heartland Financial USA, Inc   407 
 8,039      Heritage Financial Corp   148 
 24,702      HomeStreet, Inc   636 
 21,937      HomeTrust Bancshares, Inc   298 
 356,223      Huntington Bancshares, Inc   3,267 
 1,751,581      ING Groep NV   12,501 
 6,870,509      Intesa Sanpaolo S.p.A.   12,926 
 139,026      Investors Bancorp, Inc   1,009 
 122,862      KBC Groep NV   6,161 
 115,824      Kearny Financial Corp   835 
 272,207      Keycorp   3,247 
 22,925      Live Oak Bancshares, Inc   581 
 99,684      M&T Bank Corp   9,180 
 12,050      MGIC Investment Corp   107 
 8,047   *  Mr Cooper Group, Inc   180 
 1,139,508      National Australia Bank Ltd   14,639 
 35,858      National Bank Holdings Corp   941 
 3,324      NBT Bancorp, Inc   89 
 569,825      New York Community Bancorp, Inc   4,712 
 34,949      Northfield Bancorp, Inc   319 
 9,051      Old National Bancorp   114 
 189,303      People’s United Financial, Inc   1,952 
 57,846      Pinnacle Financial Partners, Inc   2,059 
 316,198      PNC Financial Services Group, Inc   34,753 
 827,955      Regions Financial Corp   9,546 
 2,027,100      Resona Holdings, Inc   6,906 
 4,704      Signature Bank   390 
 1,005,063      Skandinaviska Enskilda Banken AB (Class A)   8,927 
 63,425      Societe Generale   842 
 1,762,556      Standard Chartered plc   8,111 
 17,395      Sterling Bancorp   183 
 8,646      Stock Yards Bancorp, Inc   294 
 248,200      Sumitomo Mitsui Trust Holdings, Inc   6,603 
 23,733   *  SVB Financial Group   5,711 
401

COLLEGE RETIREMENT EQUITIES FUND - Social Choice Account

 

          VALUE 
SHARES      COMPANY  (000) 
 886,765      Svenska Handelsbanken AB  $7,419 
 3,121   *  Texas Capital Bancshares, Inc   97 
 6,965      TFS Financial Corp   102 
 26,551   *  The Bancorp, Inc   229 
 475,503      Toronto-Dominion Bank   22,016 
 7,365      Trico Bancshares   180 
 33,943   *  Tristate Capital Holdings, Inc   449 
 626,933      Truist Financial Corp   23,855 
 1,700      Trustmark Corp   36 
 5,827      Umpqua Holdings Corp   62 
 12,481      Univest Financial Corp   179 
 5,960      Webster Financial Corp   157 
 30,378      WesBanco, Inc   649 
 3,019      Westamerica Bancorporation   164 
 979,242      Westpac Banking Corp   11,907 
 1,110      Wintrust Financial Corp   44 
 1,706      WSFS Financial Corp   46 
 69,930      Zions Bancorporation   2,043 
        TOTAL BANKS   366,985 
              
CAPITAL GOODS - 3.6%        
 259,918      3M Co   41,634 
 790      Acuity Brands, Inc   81 
 10,485   *  Aegion Corp   148 
 142,033      Assa Abloy AB   3,321 
 47,888   *  Astronics Corp   370 
 212,409      Atlas Copco AB (A Shares)   10,127 
 202,746      Atlas Copco AB (B Shares)   8,461 
 102,716   *  Axon Enterprise, Inc   9,316 
 57,355      Barnes Group, Inc   2,050 
 2,120   *  Beacon Roofing Supply, Inc   66 
 172,413   *,e  Bloom Energy Corp   3,098 
 46,560      Bouygues S.A.   1,609 
 38,706      Brenntag AG.   2,461 
 308,152      CAE, Inc   4,508 
 21,582      Carlisle Cos, Inc   2,641 
 227,727      Caterpillar, Inc   33,966 
 919,426      CNH Industrial NV   7,111 
 106,312      Compagnie de Saint-Gobain   4,453 
 50,690      Cubic Corp   2,949 
 44,323      Cummins, Inc   9,359 
 90,060      Curtiss-Wright Corp   8,399 
 25,000      Daifuku Co Ltd   2,523 
 89,000      Daikin Industries Ltd   16,445 
 92,545      DCC plc   7,164 
 122,204      Deere & Co   27,084 
 210,063      Eaton Corp   21,433 
 2,820      EMCOR Group, Inc   191 
 146,161      Fastenal Co   6,590 
 125,694      Ferguson plc   12,649 
 122,652      Fortive Corp   9,347 
 15,340   *  Herc Holdings, Inc   608 
 173,054      Hexcel Corp   5,806 
 97,900   *,e  Hitachi Construction Machinery Co Ltd   3,548 
402

COLLEGE RETIREMENT EQUITIES FUND - Social Choice Account

 

          VALUE 
SHARES      COMPANY  (000) 
 24,226      Hochtief AG.  $1,881 
 386      IDEX Corp   70 
 196,628      Illinois Tool Works, Inc   37,991 
 392,308      Johnson Controls International plc   16,026 
 303,500      Kajima Corp   3,657 
 159,700   e  Kawasaki Heavy Industries Ltd   2,157 
 1,335,270      Keppel Corp Ltd   4,374 
 417,800      Komatsu Ltd   9,176 
 576,200      Kubota Corp   10,324 
 14,151      Legrand S.A.   1,127 
 86      Lennox International, Inc   23 
 209,475      Masco Corp   11,548 
 111,657   *  Mercury Systems, Inc   8,649 
 605,300      Mitsubishi Corp   14,488 
 29,641      Moog, Inc (Class A)   1,883 
 52,945      MTU Aero Engines Holding AG.   8,777 
 6,318   *  MYR Group, Inc   235 
 333,800      Obayashi Corp   3,047 
 5,749      Owens Corning, Inc   396 
 77,193      PACCAR, Inc   6,583 
 58,907      Parker-Hannifin Corp   11,919 
 30,284   *,e  Plug Power, Inc   406 
 46,658      Rockwell Automation, Inc   10,297 
 45,859      Roper Technologies Inc   18,119 
 4,385      Rush Enterprises, Inc (Class A)   222 
 256,074      Sandvik AB   5,008 
 169,337      Schneider Electric S.A.   21,048 
 386,200      Shimizu Corp   2,907 
 200,669      Siemens AG.   25,342 
 11,700      Snap-On, Inc   1,721 
 676      Stanley Black & Decker, Inc   110 
 37,389   *  Sunrun, Inc   2,882 
 45,760   *  Teledyne Technologies, Inc   14,195 
 85,923      Trane Technologies plc   10,418 
 20,355   *  Trimas Corp   464 
 37,581   *  United Rentals, Inc   6,558 
 6,185   *  Vectrus, Inc   235 
 21,255      Vestas Wind Systems AS   3,435 
 697,108      Volvo AB (B Shares)   13,391 
 16,345      W.W. Grainger, Inc   5,831 
 9,535   e  Wabash National Corp   114 
 350,496   e  Wartsila Oyj (B Shares)   2,753 
 3,684   *  WESCO International, Inc   162 
 44,860      Woodward Inc   3,596 
 12,800      WSP Global, Inc   841 
 45,944      Xylem, Inc   3,865 
        TOTAL CAPITAL GOODS   577,767 
              
COMMERCIAL & PROFESSIONAL SERVICES - 1.0%       
 2,604      ABM Industries, Inc   95 
 20,398      ACCO Brands Corp   118 
 25,543      Adecco S.A.   1,348 
 1,000   *  ASGN Inc   64 
 1,175      Brambles Ltd   9 
403

COLLEGE RETIREMENT EQUITIES FUND - Social Choice Account

 

          VALUE 
SHARES      COMPANY  (000) 
 17,055      Cintas Corp  $5,676 
 168,457   *  Copart, Inc   17,715 
 14,671   *  FTI Consulting, Inc   1,555 
 7,701      Heidrick & Struggles International, Inc   151 
 6,731   *  Huron Consulting Group, Inc   265 
 5,731      ICF International, Inc   353 
 322,563      IHS Markit Ltd   25,324 
 125,772      Intertek Group plc   10,263 
 47,960      Kelly Services, Inc (Class A)   817 
 81,863      Nielsen NV   1,161 
 37,666      Randstad Holdings NV   1,964 
 400,300      Recruit Holdings Co Ltd   15,898 
 710,114      RELX plc (London)   15,806 
 21,731      Resources Connection, Inc   251 
 65,713      Robert Half International, Inc   3,479 
 1,100      Secom Co Ltd   101 
 10,426      Seek Ltd   161 
 3,476      SGS S.A.   9,315 
 6,612      Teleperformance   2,038 
 146,347      TransUnion   12,312 
 1,668   *  TriNet Group, Inc   99 
 18,673      Verisk Analytics, Inc   3,460 
 42,474      Viad Corp   885 
 178,203      Waste Management, Inc   20,167 
 29,805      Wolters Kluwer NV   2,542 
        TOTAL COMMERCIAL & PROFESSIONAL SERVICES   153,392 
              
CONSUMER DURABLES & APPAREL - 1.2%     
 51,093      Adidas-Salomon AG.   16,500 
 540,582      Barratt Developments plc   3,315 
 48,830      Berkeley Group Holdings plc   2,662 
 92,878      Burberry Group plc   1,862 
 17,548      Callaway Golf Co   336 
 60,316      DR Horton, Inc   4,562 
 94,209      Essilor International S.A.   12,825 
 39,949      Ethan Allen Interiors, Inc   541 
 2,666   *  Garmin Ltd   253 
 804      Hasbro, Inc   66 
 28,990   *,e  iRobot Corp   2,200 
 40,139      Lennar Corp (Class A)   3,279 
 33,471   *  Lululemon Athletica, Inc   11,024 
 21,383   *  Mohawk Industries, Inc   2,087 
 10,439      Newell Brands Inc   179 
 479,509      Nike, Inc (Class B)   60,198 
 2,585   *  NVR, Inc   10,555 
 990,000      Panasonic Corp   8,433 
 21,332      Pandora AS   1,539 
 4,852      Puma AG. Rudolf Dassler Sport   436 
 448      PVH Corp   27 
 5,792      SEB S.A.   942 
 296,900      Sekisui House Ltd   5,261 
 237,100      Sharp Corp   2,949 
 164,883   *  Sonos, Inc   2,503 
 346,600      Sony Corp   26,564 
404

COLLEGE RETIREMENT EQUITIES FUND - Social Choice Account

 

          VALUE 
SHARES      COMPANY  (000) 
 1,162,041      Taylor Wimpey plc  $1,625 
 73,111      VF Corp   5,136 
        TOTAL CONSUMER DURABLES & APPAREL   187,859 
              
CONSUMER SERVICES - 1.3%     
 138,079      Accor S.A.   3,865 
 33,403   *  American Public Education, Inc   942 
 40,694   *  Bright Horizons Family Solutions   6,187 
 31,423      Carriage Services, Inc   701 
 3,016   *  Chipotle Mexican Grill, Inc (Class A)   3,751 
 824,091      Compass Group plc   12,379 
 44,456      Darden Restaurants, Inc   4,478 
 96,192   e  Dave & Buster’s Entertainment, Inc   1,458 
 29,108      Domino’s Pizza, Inc   12,379 
 3,927      Dunkin Brands Group, Inc   322 
 43,553   *  El Pollo Loco Holdings, Inc   706 
 16,104   *  frontdoor, Inc   627 
 8,855      Graham Holdings Co   3,578 
 289,355      Hilton Worldwide Holdings, Inc   24,688 
 176,045      InterContinental Hotels Group plc   9,241 
 21,377      Marriott Vacations Worldwide Corp   1,941 
 65,700   e  Oriental Land Co Ltd   9,214 
 34,149   *  Planet Fitness, Inc   2,104 
 56,379   *,e  Regis Corp   346 
 255,963      Royal Caribbean Cruises Ltd   16,568 
 97,348      Service Corp International   4,106 
 2,305   *,e  Shake Shack, Inc   149 
 89,687      Six Flags Entertainment Corp   1,821 
 550,612      Starbucks Corp   47,309 
 106,971   *  Terminix Global Holdings, Inc   4,266 
 23,805      Vail Resorts, Inc   5,094 
 92,318      Wendy’s   2,058 
 105,535      Whitbread plc   2,883 
 30,692   *  WW International Inc   579 
 199,385      Yum! Brands, Inc   18,204 
        TOTAL CONSUMER SERVICES   201,944 
              
DIVERSIFIED FINANCIALS - 3.0%     
 760,189      3i Group plc   9,762 
 119,166      Ally Financial, Inc   2,988 
 312,172      American Express Co   31,295 
 2,187      Ameriprise Financial, Inc   337 
 1,340,182      AMP Ltd   1,262 
 67,417   g  Amundi S.A.   4,752 
 24,514      Annaly Capital Management, Inc   175 
 615,029      Bank of New York Mellon Corp   21,120 
 60,935      BlackRock, Inc   34,340 
 3,313      Blackstone Group, Inc   173 
 474,699   e  Brookfield Asset Management, Inc   15,707 
 522,118      Charles Schwab Corp   18,916 
 155,391      CME Group, Inc   25,999 
 47,319      Deutsche Boerse AG.   8,296 
 431,895      Discover Financial Services   24,955 
 29,186      E*TRADE Financial Corp   1,461 
405

COLLEGE RETIREMENT EQUITIES FUND - Social Choice Account

 

          VALUE 
SHARES      COMPANY  (000) 
 1,832      Equitable Holdings, Inc  $33 
 42,522      Eurazeo   2,302 
 11,159      Factset Research Systems, Inc   3,737 
 115,174      Franklin Resources, Inc   2,344 
 12,011   *  Green Dot Corp   608 
 404,146      Hong Kong Exchanges and Clearing Ltd   19,025 
 407,823      Intercontinental Exchange Group, Inc   40,803 
 48,473      Invesco Ltd   553 
 82,543      Kinnevik AB   3,350 
 131,920      London Stock Exchange Group plc   15,133 
 147,667      Macquarie Group Ltd   12,800 
 22,880      MarketAxess Holdings, Inc   11,019 
 454,800      Mitsubishi UFJ Lease & Finance Co Ltd   2,113 
 81,875      Moody’s Corp   23,732 
 786,678      Morgan Stanley   38,036 
 27,645      Nasdaq Inc   3,392 
 1,071,999      Natixis   2,409 
 12,048   *,†  NewStar Financial, Inc   3 
 145,674      Northern Trust Corp   11,358 
 3,573   *  PRA Group, Inc   143 
 243,634      Redwood Trust, Inc   1,832 
 131,229      S&P Global, Inc   47,321 
 139,030      Schroders plc   4,829 
 2,147,611      Standard Life Aberdeen plc   6,254 
 152,236      State Street Corp   9,032 
 33,024      T Rowe Price Group, Inc   4,234 
 1,360,287      UBS Group AG   15,198 
 26,721      Voya Financial, Inc   1,281 
 26,666      Wendel   2,419 
        TOTAL DIVERSIFIED FINANCIALS   486,831 
              
ENERGY - 1.5%     
 503,603      Antero Midstream Corp   2,704 
 203,823      Apache Corp   1,930 
 280,799      Baker Hughes Co   3,732 
 1,172,364      Cenovus Energy, Inc (Toronto)   4,570 
 3,725   *  ChampionX Corp   30 
 162,624   *  Cheniere Energy, Inc   7,525 
 502,292      Chevron Corp   36,165 
 17,352      Cimarex Energy Co   422 
 575,460      ConocoPhillips   18,898 
 4,244      Delek US Holdings, Inc   47 
 518,980      Enbridge, Inc (Toronto)   15,161 
 1,368,701      ENI S.p.A.   10,698 
 255,497      EQT Corp   3,304 
 718,937   *  Equinor ASA   10,186 
 504,797      Galp Energia SGPS S.A.   4,682 
 342,641   *  Gulfport Energy Corp   181 
 306,792   *  Helix Energy Solutions Group, Inc   739 
 118,879      Hess Corp   4,866 
 257,586      Inpex Holdings, Inc   1,382 
 1,163,410      Kinder Morgan, Inc   14,345 
 6,109      Koninklijke Vopak NV   344 
 840,835      Kosmos Energy Ltd   820 
406

COLLEGE RETIREMENT EQUITIES FUND - Social Choice Account

 

          VALUE 
SHARES      COMPANY  (000) 
 1,649,839      Marathon Oil Corp  $6,748 
 28,451   *  Matrix Service Co   238 
 11,094      National Oilwell Varco, Inc   100 
 231,682      Neste Oil Oyj   12,200 
 198,348      Noble Energy, Inc   1,696 
 5,830   *  Oceaneering International, Inc   21 
 166,551      OMV AG.   4,557 
 26,109      ONEOK, Inc   678 
 262,045      Parsley Energy, Inc   2,453 
 1,044,025      Repsol YPF S.A.   7,053 
 607,389      Schlumberger Ltd   9,451 
 45,616   *  Select Energy Services, Inc   175 
 902,299   *  Southwestern Energy Co   2,120 
 798,336      Suncor Energy, Inc   9,749 
 7,252      Tenaris S.A.   36 
 684,109   *,e  Total S.A.   23,494 
 247,229      Valero Energy Corp   10,710 
 309,872      Williams Cos, Inc   6,089 
 966      Woodside Petroleum Ltd   12 
        TOTAL ENERGY   240,311 
              
FOOD & STAPLES RETAILING - 0.5%     
 293,800      Aeon Co Ltd   7,903 
 232,229      Alimentation Couche Tard, Inc   8,087 
 86,085      Carrefour S.A.   1,376 
 64,229      Casey’s General Stores, Inc   11,410 
 46,387   *  Chefs’ Warehouse Holdings, Inc   674 
 13,275      Coles Group Ltd   162 
 63,518      George Weston Ltd   4,670 
 1,559   e  ICA Gruppen AB   79 
 1,769,105      J Sainsbury plc   4,356 
 1,474      Jeronimo Martins SGPS S.A.   24 
 69,400      Kobe Bussan Co Ltd   3,822 
 800      Lawson, Inc   38 
 138,558      Loblaw Cos Ltd   7,256 
 89,365      Metro Wholesale & Food Specialist AG.   890 
 15,404   *  Performance Food Group Co   533 
 45,309      Pricesmart, Inc   3,011 
 72,150      SpartanNash Co   1,180 
 244,621   *  Sprouts Farmers Market, Inc   5,120 
 4,508,344      Tesco plc   12,368 
 111,709   *  United Natural Foods, Inc   1,661 
 300,204   *  US Foods Holding Corp   6,671 
 18,123   e  Weis Markets, Inc   870 
 1,600      Welcia Holdings Co Ltd   70 
 1,824,513      WM Morrison Supermarkets plc   4,005 
        TOTAL FOOD & STAPLES RETAILING   86,236 
              
FOOD, BEVERAGE & TOBACCO - 2.4%     
 364,500      Ajinomoto Co, Inc   7,470 
 246,023      Associated British Foods plc   5,923 
 3,375      Barry Callebaut AG.   7,517 
 56,709   *,e  Beyond Meat, Inc   9,417 
 1,758      Bunge Ltd   80 
407

COLLEGE RETIREMENT EQUITIES FUND - Social Choice Account

 

          VALUE 
SHARES      COMPANY  (000) 
 95,554      Campbell Soup Co  $4,622 
 423,452      Coca-Cola Amatil Ltd   2,899 
 1,276,813      Coca-Cola Co   63,036 
 228,882      Coca-Cola European Partners plc (Class A)   8,883 
 225,309      Coca-Cola HBC AG.   5,564 
 238,798      Danone   15,468 
 64,024      Fresh Del Monte Produce, Inc   1,467 
 448,424      General Mills, Inc   27,659 
 2,360   *  Hain Celestial Group, Inc   81 
 257,018      Hormel Foods Corp   12,566 
 163,208      Kellogg Co   10,542 
 92,734      Kerry Group plc (Class A)   11,878 
 146,000   e  Kikkoman Corp   8,099 
 44,589      McCormick & Co, Inc   8,655 
 88,600      MEIJI Holdings Co Ltd   6,768 
 113,527   e  Mowi ASA   2,020 
 621,268      Nestle S.A.   73,938 
 29,600      Nissin Food Products Co Ltd   2,781 
 302,914      Orkla ASA   3,057 
 482,810      PepsiCo, Inc   66,917 
 141,100      Suntory Beverage & Food Ltd   5,299 
 9,964   *  TreeHouse Foods, Inc   404 
 73,000      Yakult Honsha Co Ltd   4,053 
        TOTAL FOOD, BEVERAGE & TOBACCO   377,063 
              
HEALTH CARE EQUIPMENT & SERVICES - 3.3%     
 44,639   *  Abiomed, Inc   12,368 
 219,862      Alcon, Inc   12,465 
 210,300      Alfresa Holdings Corp   4,606 
 52,088   *  Align Technology, Inc   17,052 
 337,069   *  Allscripts Healthcare Solutions, Inc   2,744 
 83,449   *  Angiodynamics, Inc   1,006 
 224,873   *  Antares Pharma, Inc   607 
 32,319   *  AtriCure, Inc   1,290 
 1,820   *,e  Axonics Modulation Technologies, Inc   93 
 49,240      Becton Dickinson & Co   11,457 
 2,533   *  BioTelemetry, Inc   115 
 176,296      Cardinal Health, Inc   8,277 
 27,564   *  Cardiovascular Systems, Inc   1,085 
 431,495   *  Centene Corp   25,169 
 381,443      Cerner Corp   27,575 
 291,182   *  Cerus Corp   1,823 
 84,730      Cigna Corp   14,354 
 6,294      Cochlear Ltd   899 
 50,637      Coloplast AS   8,025 
 22,324   e  Computer Programs & Systems, Inc   616 
 42,519      Cooper Cos, Inc   14,334 
 104,814   *  Covetrus, Inc   2,557 
 424,885      CVS Health Corp   24,813 
 214,635      Dentsply Sirona, Inc   9,386 
 38,381   *  DexCom, Inc   15,822 
 435,221   *  Edwards Lifesciences Corp   34,739 
 171,333   *  Envista Holdings Corp   4,228 
 354,316      Fisher & Paykel Healthcare Corp   7,820 
408

COLLEGE RETIREMENT EQUITIES FUND - Social Choice Account

 

          VALUE 
SHARES      COMPANY  (000) 
 140,876   *  GenMark Diagnostics, Inc  $2,000 
 15,806   *,e  Glaukos Corp   783 
 59,997   *  Globus Medical, Inc   2,971 
 81,349      GN Store Nord   6,129 
 11,735   *  Guardant Health, Inc   1,312 
 9,550   *  Haemonetics Corp   833 
 129,977      HCA Healthcare, Inc   16,206 
 66,730   *,e  Health Catalyst, Inc   2,442 
 29,203   *  Henry Schein, Inc   1,717 
 14,207   *,e  Heska Corp   1,403 
 29,655      Hill-Rom Holdings, Inc   2,476 
 71,024   *  HMS Holdings Corp   1,701 
 116,719   *  Hologic, Inc   7,758 
 102,686      Humana, Inc   42,501 
 60,960   *  IDEXX Laboratories, Inc   23,964 
 8,609   *  Inogen, Inc   250 
 350   *  Insulet Corp   83 
 23,129   *  Integer Holding Corp   1,365 
 46,958   *  Laboratory Corp of America Holdings   8,841 
 27,738      LeMaitre Vascular, Inc   902 
 9,373   *  LivaNova plc   424 
 18,827   *  Livongo Health, Inc   2,637 
 86,229   *  Meridian Bioscience, Inc   1,464 
 109,957   *  Merit Medical Systems, Inc   4,783 
 116,928   *  NextGen Healthcare, Inc   1,490 
 44,805   *  Omnicell, Inc   3,345 
 119,916   *  OraSure Technologies, Inc   1,459 
 37,581   *  Orthofix Medical Inc   1,170 
 40,671      Owens & Minor, Inc   1,021 
 16,003   *  Penumbra, Inc   3,111 
 2,830      Premier, Inc   93 
 3,235   *  Providence Service Corp   301 
 29,279      Quest Diagnostics, Inc   3,352 
 77,401   *  Quidel Corp   16,980 
 139,991      Ramsay Health Care Ltd   6,675 
 84,284      Resmed, Inc   14,449 
 282,183      Ryman Healthcare Ltd   2,651 
 27,622      Sartorius AG.   11,322 
 12,083      Sonic Healthcare Ltd   287 
 44,534      Sonova Holdings AG   11,286 
 50,171   *  Staar Surgical Co   2,838 
 34,603      STERIS plc   6,097 
 79,600      Sysmex Corp   7,616 
 34,744   *  Tactile Systems Technology, Inc   1,271 
 27,610   *  Tandem Diabetes Care, Inc   3,134 
 39,404   *,e  Teladoc, Inc   8,639 
 6,735   *,e  Triple-S Management Corp (Class B)   120 
 39,409   *  Varian Medical Systems, Inc   6,778 
 64,103   *,e  Vocera Communications, Inc   1,864 
 45,997      West Pharmaceutical Services, Inc   12,645 
        TOTAL HEALTH CARE EQUIPMENT & SERVICES   530,264 
              
HOUSEHOLD & PERSONAL PRODUCTS - 1.6%     
 32,966      Beiersdorf AG.   3,743 
409

COLLEGE RETIREMENT EQUITIES FUND - Social Choice Account

 

          VALUE 
SHARES      COMPANY  (000) 
 87,163      Clorox Co  $18,319 
 319,445      Colgate-Palmolive Co   24,645 
 367,053   e  Essity AB   12,392 
 83,201      Estee Lauder Cos (Class A)   18,159 
 100,862      Henkel KGaA   9,433 
 37,753      Henkel KGaA (Preference)   3,948 
 172,500      Kao Corp   12,950 
 67,915      Kimberly-Clark Corp   10,028 
 23,200      Kobayashi Pharmaceutical Co Ltd   2,242 
 10,600      Kose Corp   1,298 
 92,800   e  Lion Corp   1,905 
 71,308      L’Oreal S.A.   23,206 
 702,117      Procter & Gamble Co   97,587 
 201,500      Shiseido Co Ltd   11,665 
 218,100      Uni-Charm Corp   9,754 
        TOTAL HOUSEHOLD & PERSONAL PRODUCTS   261,274 
              
INSURANCE - 2.0%     
 2,021,547      Aegon NV   5,232 
 336,054      Aflac, Inc   12,216 
 118,089      Allianz AG.   22,665 
 118,177      Allstate Corp   11,125 
 77,267      Aon plc   15,940 
 114      Arthur J. Gallagher & Co   12 
 519,493      Assicurazioni Generali S.p.A.   7,322 
 2,814,157      Aviva plc   10,412 
 574,060      AXA S.A.   10,625 
 242,283      Chubb Ltd   28,134 
 193,866      CNP Assurances   2,431 
 1,814   *  eHealth, Inc   143 
 3,967,440      Legal & General Group plc   9,678 
 216,729      Loews Corp   7,531 
 287,428      Marsh & McLennan Cos, Inc   32,968 
 82,300      Mitsui Sumitomo Insurance Group Holdings, Inc   2,218 
 31,810      Muenchener Rueckver AG.   8,087 
 235,300      NKSJ Holdings, Inc   8,123 
 642      Principal Financial Group   26 
 298,102      Progressive Corp   28,221 
 328,560      Prudential Financial, Inc   20,870 
 1,026,451      Prudential plc   14,728 
 75,475      Sun Life Financial, Inc   3,076 
 118,769      Swiss Re Ltd   8,810 
 130,200      Tokio Marine Holdings, Inc   5,697 
 157,674      Travelers Cos, Inc   17,059 
 208      White Mountains Insurance Group Ltd   162 
 15,095      Willis Towers Watson plc   3,152 
 51,467      Zurich Insurance Group AG   17,947 
        TOTAL INSURANCE   314,610 
              
MATERIALS - 2.9%     
 142,583      Agnico-Eagle Mines Ltd   11,360 
 132,474      Air Liquide   20,998 
 1,524      Amcor plc   17 
 13,596      Aptargroup, Inc   1,539 
410

COLLEGE RETIREMENT EQUITIES FUND - Social Choice Account

 

          VALUE 
SHARES      COMPANY  (000) 
 480,800      Asahi Kasei Corp  $4,194 
 612   *  Axalta Coating Systems Ltd   14 
 533,448      B2Gold Corp   3,473 
 247,058      Ball Corp   20,535 
 176,376      BASF SE   10,741 
 213,652      BlueScope Steel Ltd   1,969 
 307,457      Boliden AB   9,122 
 83,968   *  Century Aluminum Co   598 
 4,061      Christian Hansen Holding   451 
 329,193      CRH plc   11,937 
 89,942      Croda International plc   7,255 
 45,293      DSM NV   7,457 
 533,766      DuPont de Nemours, Inc   29,613 
 171,703      Ecolab, Inc   34,313 
 496,318      Evolution Mining Ltd   2,073 
 924,604      Fortescue Metals Group Ltd   10,862 
 68,702      Franco-Nevada Corp   9,600 
 3,439      Givaudan S.A.   14,849 
 102,204      HeidelbergCement AG.   6,245 
 204,900      Hitachi Metals Ltd   3,160 
 15,725      International Flavors & Fragrances, Inc   1,926 
 11,455      Johnson Matthey plc   348 
 229,267      Linde plc   54,595 
 747,109      Lundin Mining Corp   4,169 
 486,000      Mitsubishi Chemical Holdings Corp   2,805 
 58,300      Mitsubishi Materials Corp   1,149 
 141,592      Mitsui Chemicals, Inc   3,422 
 279,116      Mondi plc   5,902 
 153,895      Mosaic Co   2,812 
 438,614      Newcrest Mining Ltd   9,946 
 506,847      Newmont Goldcorp Corp   32,159 
 500      Nippon Paint Co Ltd   52 
 704,000      Nippon Steel Corp   6,646 
 89,700      Nitto Denko Corp   5,844 
 1,520,855      Norsk Hydro ASA   4,198 
 162,222      Nucor Corp   7,277 
 306,097      Nutrien Ltd (Toronto)   12,002 
 20,310      PPG Industries, Inc   2,479 
 3,446      Reliance Steel & Aluminum Co   352 
 10,424      Schnitzer Steel Industries, Inc (Class A)   200 
 124,900      Shin-Etsu Chemical Co Ltd   16,344 
 142,600      Showa Denko KK   2,617 
 40,165      Sika AG.   9,863 
 152,065      Stora Enso Oyj (R Shares)   2,380 
 1,354,900      Sumitomo Chemical Co Ltd   4,485 
 262,800      Sumitomo Metal Mining Co Ltd   8,151 
 175,625   *  Summit Materials, Inc   2,905 
 454,344      Svenska Cellulosa AB (B Shares)   6,229 
 528,435      Teck Cominco Ltd   7,358 
 9,000      Toray Industries, Inc   41 
 27,032      Trinseo S.A.   693 
 190,257      Umicore S.A.   7,914 
 24,373      UPM-Kymmene Oyj   742 
 33,281   *  US Concrete, Inc   967 
411

COLLEGE RETIREMENT EQUITIES FUND - Social Choice Account

 

          VALUE 
SHARES      COMPANY  (000) 
 112,930      Voestalpine AG.  $2,976 
 120,838      Wheaton Precious Metals Corp   5,929 
        TOTAL MATERIALS   460,252 
              
MEDIA & ENTERTAINMENT - 3.3%     
 527,141      Activision Blizzard, Inc   42,672 
 69,342   *  Alphabet, Inc (Class A)   101,628 
 68,556   *  Alphabet, Inc (Class C)   100,750 
 2,994      Cable One, Inc   5,645 
 4,039   *,e  Cardlytics, Inc   285 
 222,448      Cinemark Holdings, Inc   2,224 
 1,591,092      Comcast Corp (Class A)   73,604 
 328,945   *,e  Discovery, Inc (Class A)   7,161 
 464,861   *  Discovery, Inc (Class C)   9,111 
 190,888   *  Electronic Arts, Inc   24,894 
 84,653   *  Gray Television, Inc   1,166 
 87,854   *,e  iHeartMedia, Inc   713 
 101,331   *  Imax Corp   1,212 
 655,398      Informa plc   3,177 
 57,052      JC Decaux S.A.   986 
 60,210      John Wiley & Sons, Inc (Class A)   1,909 
 784   *  Liberty Broadband Corp (Class A)   111 
 206,691   *  Liberty Broadband Corp (Class C)   29,530 
 2,960   *  Liberty Global plc (Class A)   62 
 7,192   *  Liberty Global plc (Class C)   148 
 3,002   *  Live Nation, Inc   162 
 23,584      Loral Space & Communications, Inc   432 
 20,704   *  Madison Square Garden Co   3,116 
 71,553      New York Times Co (Class A)   3,062 
 34,100      Nintendo Co Ltd   19,324 
 358,514      Omnicom Group, Inc   17,746 
 749,945   e  Pearson plc   5,320 
 426,722   *  Pinterest, Inc   17,713 
 549      Schibsted ASA (B Shares)   22 
 44,164      Scholastic Corp   927 
 111,949   e  Sinclair Broadcast Group, Inc (Class A)   2,153 
 1,780,304   e  Sirius XM Holdings, Inc   9,542 
 18,838   *  Snap, Inc   492 
 95,584   *  Take-Two Interactive Software, Inc   15,792 
 15,254      TEGNA, Inc   179 
 218,401      TripAdvisor, Inc   4,278 
 47,708      World Wrestling Entertainment, Inc (Class A)   1,931 
 766,310      WPP plc   6,019 
 1,850,968   *  Zynga, Inc   16,881 
        TOTAL MEDIA & ENTERTAINMENT   532,079 
              
PHARMACEUTICALS, BIOTECHNOLOGY & LIFE SCIENCES - 5.2%     
 472,155      AbbVie, Inc   41,356 
 65,825   *  Acadia Pharmaceuticals, Inc   2,715 
 40,357   *,e  Accelerate Diagnostics, Inc   430 
 89,901   *,e  Aerie Pharmaceuticals, Inc   1,058 
 184,449      Agilent Technologies, Inc   18,618 
 57,106   *  Agios Pharmaceuticals, Inc   1,999 
 220,346      Amgen, Inc   56,003 
412

COLLEGE RETIREMENT EQUITIES FUND - Social Choice Account

 

          VALUE 
SHARES      COMPANY  (000) 
 52,528   *,e  AnaptysBio, Inc  $775 
 49,057   *  Assembly Biosciences, Inc   806 
 793,914      Astellas Pharma, Inc   11,835 
 312,531      AstraZeneca plc   34,149 
 12,200      AstraZeneca plc (ADR)   669 
 83,143   *  Atara Biotherapeutics, Inc   1,078 
 7,622   *,e  Avrobio, Inc   99 
 3,566   *  Axsome Therapeutics, Inc   254 
 307,679   *  BioCryst Pharmaceuticals, Inc   1,057 
 71,817   *  Biogen, Inc   20,373 
 58,995   *  BioMarin Pharmaceutical, Inc   4,488 
 135,052   *  Bluebird Bio, Inc   7,286 
 847,204      Bristol-Myers Squibb Co   51,078 
 198,186   *,e  Canopy Growth Corp (Toronto)   2,841 
 308,591   *  Chugai Pharmaceutical Co Ltd   13,848 
 66,315   *  Collegium Pharmaceutical, Inc   1,381 
 203,314   *,e  Cronos Group, Inc   1,021 
 123,441      CSL Ltd   25,499 
 93,300      Eisai Co Ltd   8,521 
 321,875      Eli Lilly & Co   47,644 
 5,911   *,e  Esperion Thereapeutics, Inc   220 
 39,409   *,e  Flexion Therapeutics, Inc   410 
 450,981      Gilead Sciences, Inc   28,497 
 78,706      H Lundbeck AS   2,592 
 39,223   *  Halozyme Therapeutics, Inc   1,031 
 48,374   *  Horizon Therapeutics Plc   3,758 
 7,267   *  Illumina, Inc   2,246 
 38,636   *  Immunomedics, Inc   3,285 
 39,698   *  Insmed, Inc   1,276 
 23,067   *  Intersect ENT, Inc   376 
 110,743   *  Intra-Cellular Therapies, Inc   2,842 
 70,628   *  IQVIA Holdings, Inc   11,133 
 34,391   *  Jazz Pharmaceuticals plc   4,904 
 76,245   *  Karyopharm Therapeutics, Inc   1,113 
 28,601      Lonza Group AG.   17,651 
 98,222   *  MacroGenics, Inc   2,474 
 839,840      Merck & Co, Inc   69,665 
 83,633      Merck KGaA   12,193 
 7,286   *  Mettler-Toledo International, Inc   7,036 
 3,119   *  Mirati Therapeutics, Inc   518 
 2,673   *  MyoKardia, Inc   364 
 446,256      Novo Nordisk AS   30,919 
 341,800      Ono Pharmaceutical Co Ltd   10,751 
 793,931   *,e  Opko Health, Inc   2,930 
 116,648      Orion Oyj (Class B)   5,285 
 52,529      Perrigo Co plc   2,412 
 83,235   *  Prothena Corp plc   832 
 18,085   *  Repligen Corp   2,668 
 90,481   *  Revance Therapeutics, Inc   2,275 
 153,623      Roche Holding AG.   52,622 
 7,354   *  Sage Therapeutics, Inc   449 
 103,278   *,e  Sangamo Therapeutics Inc   976 
 290,635      Sanofi-Aventis   29,125 
 18,000      Santen Pharmaceutical Co Ltd   368 
413

COLLEGE RETIREMENT EQUITIES FUND - Social Choice Account

 

          VALUE 
SHARES      COMPANY  (000) 
 126,300      Shionogi & Co Ltd  $6,760 
 198,600   e  Sumitomo Dainippon Pharma Co Ltd   2,617 
 468,149   *,e  TherapeuticsMD, Inc   740 
 98,528      Thermo Fisher Scientific, Inc   43,502 
 5,130   *  Tricida, Inc   46 
 89,867      UCB S.A.   10,207 
 34,393   *,e  Ultragenyx Pharmaceutical, Inc   2,827 
 169,057   *  Vertex Pharmaceuticals, Inc   46,004 
 23,055   *  Waters Corp   4,511 
 30,112   *,e  ZIOPHARM Oncology, Inc   76 
 280,467      Zoetis, Inc   46,381 
 15,799   *  Zogenix, Inc   283 
        TOTAL PHARMACEUTICALS, BIOTECHNOLOGY & LIFE SCIENCES   836,031 
              
REAL ESTATE - 2.0%     
 61,113      Alexandria Real Estate Equities, Inc   9,778 
 194,056      American Tower Corp   46,909 
 3,067      Americold Realty Trust   110 
 507,600      Ascendas REIT   1,215 
 89,543      Boston Properties, Inc   7,190 
 768,947      British Land Co plc   3,352 
 3,007,873   e  CapitaLand Ltd   6,014 
 45,076      CatchMark Timber Trust, Inc   403 
 99,134   *  CBRE Group, Inc   4,656 
 176,600   e  City Developments Ltd   994 
 9,814      Coresite Realty   1,167 
 32,012      Cousins Properties, Inc   915 
 37,785      CyrusOne, Inc   2,646 
 302,400      Daiwa House Industry Co Ltd   7,756 
 155,597      Deutsche Wohnen AG.   7,777 
 289,947      DiamondRock Hospitality Co   1,470 
 26,997      Easterly Government Properties, Inc   605 
 44,162      Equinix, Inc   33,569 
 83,082      First Capital Real Estate Investment Trust   809 
 41,930      First Industrial Realty Trust, Inc   1,669 
 12,953      Fonciere Des Regions   910 
 31,038      Franklin Street Properties Corp   114 
 539      Gecina S.A.   71 
 710,446      Goodman Group   9,198 
 683,337      GPT Group   1,922 
 252,264      Healthpeak Properties Inc   6,849 
 194,856      Host Hotels and Resorts, Inc   2,102 
 38,880   *  Howard Hughes Corp   2,239 
 19,640      Hudson Pacific Properties   431 
 338,000      Hulic Co Ltd   3,172 
 945   e  Iron Mountain, Inc   25 
 6,605      Jones Lang LaSalle, Inc   632 
 98,487      Kimco Realty Corp   1,109 
 19,076   e  Klepierre   267 
 368,338   e  Land Securities Group plc   2,480 
 55,191      Lend Lease Corp Ltd   441 
 1,423,700      Link REIT   11,666 
 295,765   e  Macerich Co   2,008 
 1,039,835      Mirvac Group   1,630 
414

COLLEGE RETIREMENT EQUITIES FUND - Social Choice Account

 

          VALUE 
SHARES      COMPANY  (000) 
 567,800      Mitsubishi Estate Co Ltd  $8,601 
 362,810      Mitsui Fudosan Co Ltd   6,314 
 17   *  Nippon ProLogis REIT, Inc   57 
 84,700      Nomura Real Estate Holdings, Inc   1,612 
 501,016      Park Hotels & Resorts, Inc   5,005 
 7,000      Piedmont Office Realty Trust, Inc   95 
 424,645      Prologis, Inc   42,728 
 6,300      QTS Realty Trust, Inc   397 
 19,275      Realogy Holdings Corp   182 
 15,556      Regency Centers Corp   591 
 3,556      RMR Group, Inc   98 
 59,952      SBA Communications Corp   19,094 
 663,481      Segro plc   7,973 
 603,735      Stockland Trust Group   1,649 
 563,500      Swire Pacific Ltd (Class A)   2,728 
 1,321,000      Swire Properties Ltd   3,500 
 41,583      UDR, Inc   1,356 
 40,112   e  Unibail-Rodamco-Westfield   1,479 
 80,106      Unibail-Rodamco-Westfield (Paris)   2,958 
 50,025      Ventas, Inc   2,099 
 216,002      Welltower, Inc   11,900 
 292,635      Weyerhaeuser Co   8,346 
        TOTAL REAL ESTATE   315,032 
              
RETAILING - 3.0%     
 52,124   *  1-800-FLOWERS.COM, Inc (Class A)   1,300 
 30,065      Advance Auto Parts, Inc   4,615 
 230,568   *  BJ’s Wholesale Club Holdings, Inc   9,580 
 25,350   *  Booking Holdings, Inc   43,366 
 99   *  Burlington Stores, Inc   20 
 3,890   *  CarMax, Inc   358 
 37,661   *,g  Delivery Hero AG.   4,321 
 719,452      eBay, Inc   37,483 
 247,073   *  Etsy, Inc   30,051 
 281,959      Expedia Group, Inc   25,853 
 15,700      Fast Retailing Co Ltd   9,866 
 7,052   *  Five Below, Inc   896 
 136,981   *,e  GameStop Corp (Class A)   1,397 
 26,527      Gap, Inc   452 
 28,224   *  Genesco, Inc   608 
 679      Genuine Parts Co   65 
 32,306   *  Groupon, Inc   659 
 54,715      Hennes & Mauritz AB (B Shares)   943 
 31,775   *,e  Hibbett Sports, Inc   1,246 
 305,436      Home Depot, Inc   84,823 
 318,925      Industria De Diseno Textil S.A.   8,823 
 97,400      Jardine Cycle & Carriage Ltd   1,293 
 898      JD Sports Fashion plc   9 
 25,673      Kering   17,030 
 579,682      Kingfisher plc   2,220 
 22,420   *  Lands’ End, Inc   292 
 98,089   *  LKQ Corp   2,720 
 259,929      Lowe’s Companies, Inc   43,112 
 516,711   e  Macy’s, Inc   2,945 
415

COLLEGE RETIREMENT EQUITIES FUND - Social Choice Account

 

          VALUE 
SHARES      COMPANY  (000) 
 38,743   *  MarineMax, Inc  $995 
 2,400   e  Marui Co Ltd   46 
 370   *  MercadoLibre, Inc   400 
 40,457      Next plc   3,102 
 201      Pool Corp   67 
 160,934   *  Prosus NV   14,855 
 171,930   *  Quotient Technology, Inc   1,269 
 490,800   *  Rakuten, Inc   5,292 
 128,948   *  RealReal, Inc   1,866 
 50,322      Ross Stores, Inc   4,696 
 1,746   *,e  Sally Beauty Holdings, Inc   15 
 15,085   e  Shoe Carnival, Inc   507 
 245,095      Target Corp   38,583 
 31,264      Tiffany & Co   3,622 
 353,197      TJX Companies, Inc   19,655 
 20,554      Tractor Supply Co   2,946 
 21,264   *  Ulta Beauty, Inc   4,763 
 103,887   *,e  Wayfair, Inc   30,232 
 1,397      Williams-Sonoma, Inc   126 
 24,714   *,g  Zalando SE   2,309 
 18,108   *  Zumiez, Inc   504 
        TOTAL RETAILING   472,196 
              
SEMICONDUCTORS & SEMICONDUCTOR EQUIPMENT - 2.1%     
 408,360      Applied Materials, Inc   24,277 
 274,200      ASM Pacific Technology   2,807 
 101,220      ASML Holding NV   37,388 
 27,404   *  Cirrus Logic, Inc   1,848 
 13,128   *  Cree, Inc   837 
 72,275   *  First Solar, Inc   4,785 
 1,448,734      Intel Corp   75,016 
 36,815      Lam Research Corp   12,213 
 7,708      NVE Corp   378 
 177,405      NVIDIA Corp   96,015 
 22,132   *  Silicon Laboratories, Inc   2,166 
 404,211      Texas Instruments, Inc   57,717 
 48,800      Tokyo Electron Ltd   12,749 
        TOTAL SEMICONDUCTORS & SEMICONDUCTOR EQUIPMENT   328,196 
              
SOFTWARE & SERVICES - 6.4%     
 260,233      Accenture plc   58,810 
 157,191   *  Adobe, Inc   77,091 
 110,866      Amadeus IT Holding S.A.   6,157 
 25,925   *  Aspen Technology, Inc   3,282 
 110,703      Atos Origin S.A.   8,896 
 144,170   *  Autodesk, Inc   33,305 
 199,669   *  Avaya Holdings Corp   3,035 
 66,843   *  Benefitfocus, Inc   749 
 16,128      Blackbaud, Inc   900 
 104,218   *  Blackline, Inc   9,341 
 165,363   *  Cadence Design Systems, Inc   17,633 
 89,427      Cap Gemini S.A.   11,473 
 58,374   *  Ceridian HCM Holding, Inc   4,825 
 117,233   *  CGI, Inc   7,957 
416

COLLEGE RETIREMENT EQUITIES FUND - Social Choice Account

 

          VALUE 
SHARES      COMPANY  (000) 
 18,690   *  ChannelAdvisor Corp  $270 
 3,509      Computershare Ltd   31 
 374,667   *  Conduent, Inc   1,191 
 68,102      CSG Systems International, Inc   2,789 
 525,420      DXC Technology Co   9,379 
 46,969   *  Elastic NV   5,067 
 69,609   *  ExlService Holdings, Inc   4,592 
 128,738   *  Five9, Inc   16,695 
 98,600      Fujitsu Ltd   13,471 
 26,401   *  HubSpot, Inc   7,715 
 425,334      International Business Machines Corp   51,750 
 138,738      Intuit, Inc   45,258 
 262,881   *,e  Limelight Networks, Inc   1,514 
 20,765   *  Liveperson, Inc   1,080 
 1,606,496      Microsoft Corp   337,894 
 189,881      NEC Corp   11,107 
 106,264   *  New Relic, Inc   5,989 
 205,200      Nomura Research Institute Ltd   6,042 
 141,561   *  Nutanix, Inc   3,140 
 8,622   *  OneSpan, Inc   181 
 117,080   e  Open Text Corp (Toronto)   4,949 
 1,800      Otsuka Corp   92 
 33,814   *  Paylocity Holding Corp   5,458 
 67,215   *  Perficient, Inc   2,873 
 25,859   *,e  Qualys, Inc   2,534 
 34,558   *  Rapid7, Inc   2,116 
 21,480   *  Rosetta Stone, Inc   644 
 576,811      Sabre Corp   3,755 
 294,920   *  salesforce.com, Inc   74,119 
 248,542      SAP AG.   38,702 
 121,003      Science Applications International Corp   9,489 
 27,798   *  Shopify, Inc (Class A) (Toronto)   28,427 
 42,327   *  Smartsheet, Inc   2,092 
 74,585   *  SPS Commerce, Inc   5,808 
 900      Sumisho Computer Systems Corp   50 
 134,042   *  SVMK, Inc   2,964 
 83,587   *  Sykes Enterprises, Inc   2,860 
 233,958   *  Teradata Corp   5,311 
 36,680      TTEC Holdings, Inc   2,001 
 58,018   *  Virtusa Corp   2,852 
 163,797   e  VMware, Inc (Class A)   23,533 
 89,050   *  WEX, Inc   12,375 
 112,234      Wisetech Global Ltd   2,102 
 10,974   *  Workiva, Inc   612 
 165,939   *  Zendesk, Inc   17,078 
        TOTAL SOFTWARE & SERVICES   1,021,405 
              
TECHNOLOGY HARDWARE & EQUIPMENT - 3.5%     
 3,437,728      Apple, Inc   398,123 
 4,043      Belden CDT, Inc   126 
 9,130      Benchmark Electronics, Inc   184 
 160,328   *  Ciena Corp   6,363 
 1,433,645      Cisco Systems, Inc   56,471 
 934      Cognex Corp   61 
417

COLLEGE RETIREMENT EQUITIES FUND - Social Choice Account

 

          VALUE 
SHARES      COMPANY  (000) 
 39,338      CTS Corp  $867 
 79,578      Dolby Laboratories, Inc (Class A)   5,274 
 2,887   *  Fabrinet   182 
 1,846,207      Hewlett Packard Enterprise Co   17,299 
 221,207      HP, Inc   4,201 
 14,782   *  Insight Enterprises, Inc   836 
 5,007   *  Itron, Inc   304 
 52,274      Keyence Corp   24,437 
 64,170   *  Keysight Technologies, Inc   6,339 
 28,526   *  Kimball Electronics, Inc   330 
 17,715   *  Lumentum Holdings, Inc   1,331 
 8,736      Methode Electronics, Inc   249 
 180,700      Murata Manufacturing Co Ltd   11,750 
 4,340   *  Novanta, Inc   457 
 57,800      Omron Corp   4,519 
 1,511   *  OSI Systems, Inc   117 
 64,222   *  Ribbon Communications, Inc   249 
 13,456   *,e  Rogers Corp   1,320 
 5,900      Shimadzu Corp   180 
 32,803      Synnex Corp   4,594 
 30,600      TDK Corp   3,341 
 4,348      TE Connectivity Ltd   425 
 46,836   *  Trimble Inc   2,281 
 62,237   *,e  TTM Technologies, Inc   710 
 92,218      Vishay Intertechnology, Inc   1,436 
        TOTAL TECHNOLOGY HARDWARE & EQUIPMENT   554,356 
              
TELECOMMUNICATION SERVICES - 1.1%     
 79,759   *  Boingo Wireless, Inc   813 
 6,482,604      BT Group plc   8,211 
 203,532   *  Iridium Communications, Inc   5,207 
 554,032      KDDI Corp   13,935 
 75,553      Koninklijke KPN NV   178 
 429,600      NTT DoCoMo, Inc   15,786 
 921,525   *  Orange S. A.   9,598 
 185,118      Rogers Communications, Inc (Class B)   7,343 
 2,639,500      Singapore Telecommunications Ltd   4,131 
 536,300      Singapore Telecommunications Ltd   833 
 844,100   e  Softbank Corp   9,432 
 2,271      Swisscom AG.   1,203 
 2,071   e  Tele2 AB (B Shares)   29 
 328,744      Telefonica Deutschland Holding AG.   840 
 230,397      Telenor ASA   3,868 
 217,361      TeliaSonera AB   889 
 14,204      TELUS Corp   250 
 1,320,421      Verizon Communications, Inc   78,552 
 9,265,349      Vodafone Group plc   12,281 
        TOTAL TELECOMMUNICATION SERVICES   173,379 
              
TRANSPORTATION - 1.6%     
 115,400   e  All Nippon Airways Co Ltd   2,669 
 53,382      ArcBest Corp   1,658 
 143,974      Auckland International Airport Ltd   699 
 32,552   *  Avis Budget Group, Inc   857 
418

COLLEGE RETIREMENT EQUITIES FUND - Social Choice Account

 

          VALUE 
SHARES      COMPANY  (000) 
 209,029      Canadian National Railway Co  $22,262 
 47,700      Central Japan Railway Co   6,837 
 67,298      CH Robinson Worldwide, Inc   6,877 
 466,294      CSX Corp   36,217 
 934,918      Delta Air Lines, Inc   28,590 
 364,116      Deutsche Post AG.   16,522 
 130,100      East Japan Railway Co   8,001 
 57,413   *  Echo Global Logistics, Inc   1,480 
 75,281      Getlink S.E.   1,020 
 11,500      Hankyu Hanshin Holdings, Inc   370 
 4,304      Kansas City Southern   778 
 100      Keio Corp   6 
 16,500      Kintetsu Corp   704 
 723      Kuehne & Nagel International AG.   140 
 459      Landstar System, Inc   58 
 1,735,364      MTR Corp   8,612 
 115,378      Nippon Yusen Kabushiki Kaisha   2,002 
 138,320      Norfolk Southern Corp   29,599 
 175      Old Dominion Freight Line   32 
 100      SG Holdings Co Ltd   5 
 247,249   e  Singapore Airlines Ltd   633 
 372,666      Sydney Airport   1,582 
 1,279,550      Transurban Group   13,065 
 339,486      United Parcel Service, Inc (Class B)   56,569 
 200      West Japan Railway Co   10 
        TOTAL TRANSPORTATION   247,854 
              
UTILITIES - 2.0%     
 339,638      American Electric Power Co, Inc   27,759 
 35,541      American Water Works Co, Inc   5,149 
 500,415      APA Group   3,720 
 154,522      Centerpoint Energy, Inc   2,990 
 983,500      CLP Holdings Ltd   9,183 
 14,457      CMS Energy Corp   888 
 228,090      Consolidated Edison, Inc   17,745 
 228,274      Dominion Energy, Inc   18,018 
 26,244      DTE Energy Co   3,019 
 2,401,755      Enel S.p.A.   20,837 
 186,602      Energias de Portugal S.A.   918 
 165,945      Eversource Energy   13,865 
 101,463      Fortis, Inc   4,148 
 7,133,034      Hong Kong & China Gas Ltd   10,357 
 1,541,403      Iberdrola S.A.   18,972 
 431,000      Kyushu Electric Power Co, Inc   3,911 
 503,460      Meridian Energy Ltd   1,656 
 1,264,855      National Grid plc   14,528 
 263,382      Naturgy Energy Group S.A.   5,282 
 95,935   g  Orsted AS   13,226 
 253,150      Public Service Enterprise Group, Inc   13,900 
 635,989      Scottish & Southern Energy plc   9,899 
 197,880      Sempra Energy   23,421 
 100,334   *,h  Siemens Energy AG.   2,706 
 10,780      South Jersey Industries, Inc   208 
 611,773      Southern Co   33,170 
419

COLLEGE RETIREMENT EQUITIES FUND - Social Choice Account

 

          VALUE 
SHARES      COMPANY  (000) 
 100      Toho Gas Co Ltd  $5 
 181,100      Tokyo Gas Co Ltd   4,133 
 36,029      UGI Corp   1,188 
 138,929      WEC Energy Group, Inc   13,462 
 223,684      Xcel Energy, Inc   15,436 
        TOTAL UTILITIES   313,699 
              
        TOTAL COMMON STOCKS   9,241,372 
        (Cost $7,288,519)     
              
PREFERRED STOCKS - 0.3%     
              
BANKS - 0.1%     
 233,115   *,e  Federal Home Loan Mortgage Corp (FHLMC)   2,075 
 740,991   *,e  Federal National Mortgage Association (FNMA)   6,580 
        TOTAL BANKS   8,655 
              
REAL ESTATE - 0.1%     
 390,000   e  Brookfield Property Partners LP   7,734 
 695,000      Brookfield Property Partners LP   12,419 
        TOTAL REAL ESTATE   20,153 
              
UTILITIES - 0.1%     
 490,000   *  Brookfield Infrastructure Partners LP   12,618 
 308,000   e  Brookfield Renewable Partners LP   8,103 
        TOTAL UTILITIES   20,721 
              
        TOTAL PREFERRED STOCKS   49,529 
        (Cost $71,428)     
              
RIGHTS / WARRANTS - 0.0%     
              
MEDIA & ENTERTAINMENT - 0.0%     
 38,808     Media General, Inc   0 
        TOTAL MEDIA & ENTERTAINMENT   0 
              
        TOTAL RIGHTS / WARRANTS   0 
        (Cost $0)     

 

               MATURITY    
PRINCIPAL       ISSUER  RATE  DATE    
SHORT-TERM INVESTMENTS - 6.8%            
                       
GOVERNMENT AGENCY DEBT - 2.0%            
$27,941,000       Federal Home Loan Bank (FHLB)   0.065-0.090%  10/16/20   27,940 
 34,191,000       FHLB   0.070-0.095   10/21/20   34,190 
 46,920,000       FHLB   0.080-0.095   10/28/20   46,918 
 5,393,000       FHLB   0.090   10/30/20   5,393 
 63,406,000       FHLB   0.070-0.100   11/06/20   63,402 
 22,145,000       FHLB   0.100   11/25/20   22,143 
 5,000,000       FHLB   0.100   12/30/20   4,999 
 9,295,000       FHLB   0.100   01/29/21   9,292 
 30,330,000       FHLB   0.115   02/26/21   30,317 
420

COLLEGE RETIREMENT EQUITIES FUND - Social Choice Account

 

               MATURITY  VALUE 
PRINCIPAL       ISSUER  RATE  DATE  (000) 
$20,000,000       FHLB   0.115%  03/03/21  $19,991 
 25,000,000       Federal Agricultural Mortgage Corp (FAMC)   0.080   10/21/20   24,999 
 25,000,000       FAMC   0.080   10/23/20   24,999 
         TOTAL GOVERNMENT AGENCY DEBT           314,583 
                       
TREASURY DEBT - 3.9%             
 29,130,000       United States Cash Management Bill   0.081-0.085   10/13/20   29,129 
 30,000,000       United States Cash Management Bill   0.116   11/03/20   29,998 
 40,480,000       United States Cash Management Bill   0.108   12/15/20   40,471 
 18,000,000       United States Cash Management Bill   0.090-0.095   12/29/20   17,996 
 50,000,000       United States Cash Management Bill   0.097   01/05/21   49,987 
 25,000,000       United States Cash Management Bill   0.096   02/23/21   24,990 
 50,000,000       United States Treasury Bill   0.140   10/01/20   50,000 
 70,000,000       United States Treasury Bill   0.081-0.090   10/06/20   69,999 
 6,000,000       United States Treasury Bill   0.090   11/05/20   6,000 
 25,000,000       United States Treasury Bill   0.090   11/12/20   24,997 
 33,565,000       United States Treasury Bill   0.075-0.117   11/19/20   33,561 
 58,760,000       United States Treasury Bill   0.080-0.095   12/03/20   58,750 
 30,000,000       United States Treasury Bill   0.111   12/10/20   29,994 
 82,325,000       United States Treasury Bill   0.090   12/24/20   82,304 
 69,748,000       United States Treasury Bill   0.088-0.100   12/31/20   69,729 
         TOTAL TREASURY DEBT           617,905 

 

SHARES      COMPANY    
INVESTMENTS IN REGISTERED INVESTMENT COMPANIES - 0.9%     
 143,010,596   c  State Street Navigator Securities Lending Government Money
Market Portfolio
   143,011 
        TOTAL INVESTMENTS IN REGISTERED INVESTMENT COMPANIES   143,011 
              
        TOTAL SHORT-TERM INVESTMENTS   1,075,499 
        (Cost $1,075,495)     
              
        TOTAL INVESTMENTS - 104.8%   16,684,079 
        (Cost $14,454,017)     
        OTHER ASSETS & LIABILITIES, NET - (4.8)%   (765,522)
        NET ASSETS - 100.0%  $15,918,557 
       
       
    Abbreviation(s):
ADR   American Depositary Receipt
EUR   EURO
LIBOR   London Interbank Offered Rate
M   Month
REIT   Real Estate Investment Trust
SOFR   Secured Overnight Financing Rate
421

COLLEGE RETIREMENT EQUITIES FUND - Social Choice Account

 

*   Non-income producing
  Security is categorized as Level 3 in the fair value hierarchy.
   Perpetual security
c   Investments made with cash collateral received from securities on loan.
e   All or a portion of these securities are out on loan. The aggregate value of securities on loan is $223,819,506.
g   Security is exempt from registration under Rule 144(A) of the Securities Act of 1933, as amended. Such securities are deemed liquid and may be resold in transactions exempt from registration to qualified institutional buyers. At 9/30/20, the aggregate value of these securities is $1,541,200,951 or 9.7% of net assets.
h   All or a portion of these securities were purchased on a delayed delivery basis.
       
i   Floating or variable rate security includes the reference rate and spread, unless the variable rate is based on the underlying asset of the security. Coupon rate reflects the rate at period end.
q   In default
       
    Cost amounts are in thousands.
       

 

Forward foreign currency contracts outstanding as of September 30, 2020 were as follows (dollar amounts are in thousands):

 

Currency to be
purchased
  Receive   Currency to be
sold
  Deliver   Counterparty   Settlement date   Unrealized
appreciation
(depreciation)
 
$   2,904   EUR   2,471   Bank of America   11/30/20   $               3  
       
       
Abbreviation(s):
EUR Euro
422

COLLEGE RETIREMENT EQUITIES FUND – Notes to Schedules of Investments (unaudited)

 

Organization and significant accounting policies

 

Part F of Form N-PORT was prepared in accordance with accounting principles generally accepted in the United States of America (“U.S. GAAP”) and in conformity with the applicable rules and regulations of the U.S. Securities and Exchange Commission (“Commission”) related to interim filings. Part F of Form N-PORT does not include all information and footnotes required by U.S. GAAP for complete financial statements. Certain footnote disclosures normally included in financial statements prepared in accordance with U.S. GAAP have been condensed or omitted from this report. For a full set of financial statement notes, please refer to the most recently filed annual or semiannual report.

 

Valuation of investments

 

Portfolio investments are valued at fair value utilizing various valuation methods approved by the Board of Trustees (“Board”). U.S. GAAP establishes a hierarchy that prioritizes market inputs to valuation methods. The three levels of inputs are:

 

•  Level 1 –  quoted prices in active markets for identical securities
Level 2 –  other significant observable inputs (including quoted prices for similar securities, interest rates, credit spreads, etc.)
Level 3 – significant unobservable inputs (including the Accounts’ own assumptions in determining the fair value of investments)

 

The availability of observable inputs can vary from security to security and is affected by a wide variety of factors, including, for example, the type of security, whether the security is new and not yet established in the marketplace, the liquidity of markets, and other characteristics particular to the security. To the extent that valuation is based on models or inputs that are less observable or unobservable in the market, the determination of fair value requires more judgment. Accordingly, the degree of judgment exercised in determining fair value is greatest for instruments categorized as Level 3. The inputs or methodology used for valuing securities are not necessarily an indication of the risk associated with investing in those securities.

 

Any portfolio security for which market quotations are not readily available or for which the above valuation procedures are deemed not to reflect fair value are valued at fair value, as determined in good faith using procedures approved by the Board. To the extent the inputs are observable and timely, the values would be categorized as Level 2 of the fair value hierarchy; otherwise they would be categorized as Level 3. 

 

As of September 30, 2020, 100% of the value of investments in the Inflation-Linked Bond Account was valued based on Level 2 inputs.

 

The following table summarizes the market value of the Accounts’ investments as of September 30, 2020, based on the inputs used to value them (dollar amounts are in thousands):

 

Account  Level 1   Level 2   Level 3   Total 
Stock                    
Government bonds  $   $308   $   $308 
Equity investments:                    
Communication services   8,023,983    2,084,420    34    10,108,437 
Consumer discretionary   11,125,309    3,937,883    5    15,063,197 
Consumer staples   4,643,309    3,018,148    4,267    7,665,724 
Energy   1,435,239    1,096,946    676    2,532,861 
Financials   8,102,688    4,947,488    674    13,050,850 
Health care   11,332,948    3,684,576    254    15,017,778 
Industrials   7,219,881    3,876,177    1,248    11,097,306 
Information technology   20,671,869    4,548,718    11    25,220,598 
Materials   2,332,999    2,544,344    8    4,877,351 
Real estate   2,236,449    1,113,161    9,004    3,358,614 
Utilities   2,061,551    974,119        3,035,670 
Short-term investments       2,322,566        2,322,566 
Purchased options**   507            507 
Written options**   (3,332)           (3,332)
Futures contracts**   (7,883)           (7,883)
Forward foreign currency contracts**       511        511 
Total  $79,175,517   $34,149,365   $16,181   $113,341,063 

423

COLLEGE RETIREMENT EQUITIES FUND – Notes to Schedules of Investments (unaudited)

 

Account  Level 1   Level 2   Level 3   Total 
Global Equities                    
Equity investments:                    
Asia  $507,834   $2,532,891   $80   $3,040,805 
Europe   118,910    3,027,741        3,146,651 
North America   11,648,255    353,040        12,001,295 
All other equity investments*   275,858    2,226,146    5    2,502,009 
Short-term investments       205,956        205,956 
Purchased options**   108            108 
Written options**   (2,215)           (2,215)
Futures contracts**   (1,293)           (1,293)
Total  $12,547,457   $8,345,774   $85   $20,893,316 
Growth                    
Equity investments:                    
Communication services  $4,733,428   $240,937   $   $4,974,365 
Consumer discretionary   5,266,402    382,560        5,648,962 
Consumer staples   1,061,383    116,525        1,177,908 
Health care   4,112,681    919,837        5,032,518 
Industrials   1,661,880    146,998        1,808,878 
Information technology   11,863,673    378,954        12,242,627 
All other equity investments*   1,569,608            1,569,608 
Short-term investments   74,658    104,772        179,430 
Total  $30,343,713   $2,290,583   $   $32,634,296 
Equity Index                    
Equity investments:                    
Financials  $1,910,130   $   $5   $1,910,135 
Health care   2,806,470        35    2,806,505 
Materials   539,816            539,816 
All other equity investments*   14,046,043    126        14,046,169 
Short-term investments   122,037    70,284        192,321 
Futures contracts**   (503)           (503)
Total  $19,423,993   $70,410   $40   $19,494,443 
Bond Market                    
Bank loan obligations  $   $117,779   $   $117,779 
Corporate bonds       6,039,819        6,039,819 
Government bonds       5,644,807    1,575    5,646,382 
Structured assets       2,471,818    17,627    2,489,445 
Common stocks   214            214 
Preferred stocks   17,749            17,749 
Short-term investments       1,716,107        1,716,107 
Forward foreign currency contracts**       (1,194)       (1,194)
Credit default swap contracts**       (202)       (202)
Total  $17,963   $15,988,934   $19,202   $16,026,099 

424

COLLEGE RETIREMENT EQUITIES FUND – Notes to Schedules of Investments (unaudited)

 

Account  Level 1   Level 2   Level 3   Total 
Social Choice                    
Bank loan obligations  $   $10,886   $   $10,886 
Corporate bonds       2,573,107        2,573,107 
Government bonds       3,189,927    8,593    3,198,520 
Structured assets       528,766    6,400    535,166 
Equity investments:                    
Communication services   581,803    123,656        705,459 
Consumer discretionary   769,984    294,372        1,064,356 
Consumer staples   414,197    310,376        724,573 
Energy   136,187    104,124        240,311 
Financials   689,235    487,840    3    1,177,078 
Health care   1,007,711    358,584        1,366,295 
Industrials   616,315    362,699        979,014 
Information technology   1,667,330    236,628        1,903,958 
Materials   192,994    267,258        460,252 
Real estate   238,640    96,545        335,185 
Utilities   210,940    123,480        334,420 
Short-term investments   143,010    932,489        1,075,499 
Forward foreign currency contracts**       3        3 
Total  $6,668,346   $10,000,740   $14,996   $16,684,082 

* For detailed categories, see the accompanying Schedules of Investments.
** Derivative instruments, excluding purchased options, are not reflected in the market value of portfolio investments.

 

(A10944-D 11/20)

425